Star Portfolios

Vanguard Emerging Markets Stock Index Fund, A Seri

Institution · data to Jun 2026

Disclosed value

₹16,624 Cr

Jun 2026 closes

At current prices

Current holdings

10

Tracked since

Dec 2018

Portfolio value over time

Sum of disclosed holdings across all combined entities, valued at each quarter's closing price.

Current holdings (Jun 2026)

+0.01pp₹10,407 Cr
-0.02pp₹4,289 Cr
+0.05pp₹892 Cr
+0.02pp₹258 Cr
0.00pp₹152 Cr
0.00pp₹148 Cr
+0.06pp₹103 Cr
0.00pp₹78 Cr
0.00pp₹54 Cr

Portfolio Summary

Jun 2026

As of Jun 2026, Vanguard Emerging Markets Stock Index Fund, A Seri — an institution tracked through public shareholding filings — disclosed 10 holdings in Indian listed companies worth ₹16,624 crore. The same holdings-at-filing-value basis put it at ₹13,912 crore in Mar 2026 (+19.5%). Solomo carries these filings back to Dec 2018.

Largest disclosed positions in Jun 2026: ICICI Bank Ltd (ICICIBANK1.03% of the company, ₹10,407 crore); Axis Bank Ltd (AXISBANK1.03% of the company, ₹4,289 crore); Suzlon Energy Ltd (SUZLON1.14% of the company, ₹892 crore); Sammaan Capital Ltd (SAMMAANCAP1.26% of the company, ₹258 crore); Crompton Greaves Consumer Electricals Ltd (CROMPTON1.39% of the company, ₹243 crore). Those 5 account for 97% of the disclosed value.

Changes in the Jun 2026 filings: Stake raised in Cyient Ltd (+0.06 pp), Suzlon Energy Ltd (+0.05 pp), ICICI Bank Ltd (+0.01 pp). Stake reduced in Axis Bank Ltd (−0.02 pp).

Combined disclosed portfolio value by filed quarter, valued at each quarter's closing prices.
QuarterDisclosed valueChange
Jun 2026₹16,624 Cr+19.5%
Mar 2026₹13,912 Cr+803.7%
Dec 2025₹1,539 Cr+7.3%
Sep 2025₹1,434 Cr−12.3%
Jun 2025₹1,635 Cr+14.4%
Mar 2025₹1,430 Cr−8.7%
Dec 2024₹1,566 Cr−13.4%
Sep 2024₹1,807 Cr+21.2%
All star portfolios 10 further positions appear in earlier filings but not in Jun 2026.Quarterly shareholding filings (BSE/NSE); only stakes above the 1% disclosure threshold are public. Not investment advice.