Historical shareholding details of SUNDARAM MUTUAL FUND holdings in Federal Bank Ltd. (FEDERALBNK)

Quarterly changes of SUNDARAM MUTUAL FUND shareholding in Federal Bank Ltd. over the previous quarters

Quarter Name Total no. shares held Percent Holding Pledged Locked
shares % shares %
Mar 2025 Sundaram Mutual Fund 25,792,818 1.06% 0 0.00% 0 0.00%
Dec 2024 Sundaram Mutual Fund 26,667,818 1.10% 0 0.00% 0 0.00%
Sep 2024 Sundaram Mutual Fund 27,481,853 1.13% 0 0.00% 0 0.00%
Jun 2024 Sundaram Mutual Fund 27,481,853 1.13% 0 0.00% 0 0.00%
Mar 2024 Sundaram Mutual Fund 31,159,226 1.29% 0 0.00% 0 0.00%
Dec 2023 Sundaram Mutual Fund A/C Sundaram Flexi Cap Fund 30,912,041 1.28% 0 0.00% 0 0.00%
Oct 11, 2023 Sundaram Mutual Fund 31,073,732 1.29% 0 0.00% 0 0.00%
Sep 2023 Sundaram Mutual Fund 31,073,732 1.34% 0 0.00% 0 0.00%
Jul 25, 2023 Sundaram Mutual Fund 33,012,317 1.42% 0 0.00% 0 0.00%
Jul 21, 2023 Sundaram Mutual Fund 33,012,317 1.42% 0 0.00% 0 0.00%
Jun 2023 Sundaram Mutual Fund 30,684,013 1.47% 0 0.00% 0 0.00%
Mar 2023 Sundaram Mutual Fund 30,648,892 1.47% 0 0.00% 0 0.00%
Dec 2022 Sundaram Mutual Fund 24,579,737 1.18% 0 0.00% 0 0.00%
Sep 2022 Sundaram Mutual Fund 22,540,737 1.08% 0 0.00% 0 0.00%
Jun 2022 Sundaram Mutual Fund 22,644,876 1.09% 0 0.00% 0 0.00%
Mar 2022 Sundaram Mutual Fund 22,796,464 1.10% 0 0.00% 0 0.00%
Mar 2021 Sundaram Mutual Fund 34,885,116 1.77% 0 0.00% 0 0.00%
Dec 2020 Sundaram Mutual Fund 39,362,046 2.00% 0 0.00% 0 0.00%
Sep 2020 Sundaram Mutual Fund 29,751,092 1.52% 0 0.00% 0 0.00%
Jun 2020 Sundaram Mutual Fund A/C Sundaram Arbitrage Fund 29,418,322 1.50% 0 0.00% 0 0.00%
Mar 2020 Sundaram Mutual Fund A/C Sundaram Value Fund - Series X 26,596,735 1.36% 0 0.00% 0 0.00%
Dec 2019 Sundaram Mutual Fund A/C Sundaram Equity Savings Fund 25,388,915 1.30% 0 0.00% 0 0.00%
Sep 2019 Sundaram Mutual Fund A/C Sundaram Equity Savings Fund 23,592,961 1.21% 0 0.00% 0 0.00%
Jun 2019 Sundaram Mutual Fund A/C Sundaram Equity Savings Fund 20,511,856 1.05% 0 0.00% 0 0.00%

View all shareholdings details of Federal Bank Ltd.