Computer Age Management Services Limited — ≥1% Shareholders
Every non-promoter shareholder owning 1% or more of Computer Age Management Services Limited, parsed from the latest quarterly Shareholding Pattern filing. Curated holders link to a tracked profile; mystery holders are flagged.
1 curated
19 mystery
Quarter: Mar 2026
Institutional intelligence for Computer Age Management Services Limited
Cross-view mutual fund activity and super-investor shareholding · Mar 2026 SHP.
Tracked super investors holding ≥1%
| Holder | Type | % of company | Shares | Value (₹ Cr) |
|---|---|---|---|---|
| LIC | dii | 4.87% | 1,20,80,805 | ₹756.0 Cr |
| Icici Prudential Innovation Fund | dii | 3.66% | 90,64,764 | ₹567.3 Cr |
| Ashish Parthasarthy (HDB Welfare Trust) | dii | 3.14% | 77,77,220 | ₹486.7 Cr |
| Franklin Templeton Investment Funds - Franklin India Fund | fii | 2.35% | 58,28,735 | ₹364.8 Cr |
| Aditya Birla Sun Life Elss Tax Saver Fund | dii | 2.34% | 58,01,122 | ₹363.0 Cr |
| Seafarer Overseas Growth & Income Fund | fii | 2.26% | 56,15,570 | ₹351.4 Cr |
| Canara Robeco Small Cap Fund | dii | 2.10% | 52,07,481 | ₹325.9 Cr |
| Fidelity Investment Trust : Fidelity Emerging Markets Fund | fii | 2.00% | 49,66,600 | ₹310.8 Cr |
| Fidelity Investment Trust Fidelity International Discovery Fund | fii | 1.67% | 41,43,500 | ₹259.3 Cr |
| Abu Dhabi Investment Authority - Way | fii | 1.53% | 37,90,425 | ₹237.2 Cr |
| Vanguard Total International Stock Index Fund | fii | 1.41% | 35,02,326 | ₹219.2 Cr |
| Vanguard Emerging Markets Stock Index Fund | fii | 1.34% | 33,25,280 | ₹208.1 Cr |
| Uti-Mid Cap Fund | dii | 1.33% | 32,93,702 | ₹206.1 Cr |
| Ashoka Whiteoak Icav - Ashoka Whiteoak India Opportunities Fund | fii | 1.29% | 32,02,039 | ₹200.4 Cr |
| Axis Mutual Fund A/C Axis Small Cap Fund | dii | 1.19% | 29,38,968 | ₹183.9 Cr |
| Government Pension Fund Global | fii | 1.18% | 29,17,984 | ₹182.6 Cr |
| 360 One India Private Equity Fund - Series 1a | dii | 1.16% | 28,66,550 | ₹179.4 Cr |
| J P Morgan Funds | fii | 1.13% | 28,13,201 | ₹176.1 Cr |
| Ishares Core Msci Emerging Markets Etf | fii | 1.11% | 27,63,073 | ₹172.9 Cr |
| Goldman Sachs Funds - Goldman Sachs India Equity Portfolio | fii | 1.04% | 25,71,815 | ₹160.9 Cr |
Shareholding data sourced from NSE/BSE regulatory filings. Not investment advice. See our disclaimer and methodology.