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Kotak Mahindra Bank Ltd. shareholding pattern

At 30 June 2026 promoters held 25.87% of Kotak Mahindra Bank Ltd., unchanged on the quarter. Mutual funds held 24.50% (up 0.93 points), foreign portfolio investors 25.21% (down 1.19 points), insurers 10.01%, and retail investors with up to ₹2 lakh 4.36%, across 784,727 shareholders. From the shareholding pattern filed with NSE on 14 July 2026.

Quarter
ended
PromoterChange
points
Of it
encumbered
Mutual
funds
FPIsInsurersDomestic
institutions
Retail
to ₹2 lakh
HoldersFiling
30 June 202625.87%+0.00n/a24.50%25.21%10.01%37.71%4.36%784,727XBRL
31 March 202625.87%+0.00n/a23.57%26.40%9.42%36.18%4.34%781,448XBRL
31 December 202525.87%-0.01n/a21.18%29.36%9.07%32.88%4.43%679,096XBRL
30 September 202525.88%+0.00n/a20.77%29.75%9.01%32.01%4.49%691,413XBRL
30 June 202525.88%+0.00n/a18.35%32.34%9.32%29.61%4.40%690,125XBRL
31 March 202525.88%-0.010.00%17.34%32.65%10.02%29.14%4.26%705,616XBRL
31 December 202425.89%+0.000.00%17.44%32.48%9.65%28.79%4.46%746,602XBRL
30 September 202425.89%n/a0.00%16.69%33.40%9.74%27.91%4.47%739,755XBRL

Percentages are of the total share count, as the company filed them under Regulation 31. Encumbered is the part of the promoters' own holding that is pledged, under a non-disposal undertaking or otherwise encumbered. All domestic institutions includes mutual funds, insurers, banks, pension funds and AIFs. Retail is resident individuals holding up to ₹2 lakh of nominal capital. Each row links to the filing.

Source

Shareholding patterns on nseindia.com for KOTAKBANK, each quarter read from the XBRL the company filed.

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