{"schema":1,"name":"CDSL equity custody by its investor categories, quarter end and latest month (%)","resolution":"quarterly_plus_latest_month","generated_at":"2026-10-10T02:22:05Z","meta":{"source":"NSDL and CDSL monthly BO Aggregate reports","method":"docs/methods/depositories.md","unit":"Rs crore, accounts, Rs per account or per cent as labelled","notes":["Accounts, not unique investors. NSDL explicitly includes suspended accounts in both count columns; active is not recent trading activity.","Custody is securities held at reported value, including institutions, corporates and unlisted securities. Changes are not net flows or investment returns.","NSDL Resident and CDSL Individual categories are shown separately. They are not a harmonised count of households.","NSDL Funds includes AIF, InvIT, REIT and MF units. CDSL MF is not an equivalent category.","Source cell dates govern reference months. Blank asset fields remain missing, and incomplete sums are not presented as totals.","Year-on-year changes compare the exact reference month twelve months before. No interpolation or compressed-gap comparisons."],"observation_rule":"Actual calendar quarter-end rows plus the latest source month if interim; no imputation."},"dates":["2015-06-30","2015-09-30","2015-12-31","2016-03-31","2016-06-30","2016-09-30","2016-12-31","2017-03-31","2017-06-30","2017-09-30","2017-12-31","2018-03-31","2018-06-30","2018-09-30","2018-12-31","2019-03-31","2019-06-30","2019-09-30","2019-12-31","2020-03-31","2020-06-30","2020-09-30","2020-12-31","2021-03-31","2021-06-30","2021-09-30","2021-12-31","2022-03-31","2022-06-30","2022-09-30","2022-12-31","2023-03-31","2023-06-30","2023-09-30","2023-12-31","2024-03-31","2024-06-30","2024-09-30","2024-12-31","2025-03-31","2025-06-30","2025-09-30","2025-12-31","2026-03-31","2026-06-30","2026-08-31"],"series":{"corporate_share_pct":[63.8994,63.9954,62.5396,62.3492,63.0801,62.1523,60.4027,61.174,60.7675,59.3013,58.2617,57.1305,58.0996,57.6857,58.9229,59.3438,61.055,58.2233,59.3126,57.5081,57.6102,53.7807,54.4898,53.8664,52.8736,51.5085,50.2582,50.4255,49.5669,49.5427,51.6259,51.498,51.1316,51.5355,50.1424,51.2665,50.1022,48.0282,48.4254,49.3388,48.9664,48.7648,49.4269,50.3832,49.8165,49.157],"individual_share_pct":[32.539,31.6947,32.5813,32.429,32.1669,33.2436,35.0236,34.3302,34.4067,35.7532,35.0676,35.6943,34.5421,35.3214,33.785,33.2763,31.9533,32.7995,31.5177,31.8967,31.9663,35.1291,35.1117,36.0713,37.524,39.0835,40.8629,40.7368,41.3225,41.1593,39.6925,40.0003,40.3649,40.3656,41.8781,41.1912,42.3992,44.0901,44.5829,43.3368,43.7407,44.0796,43.4105,42.6848,43.4833,44.0298],"mutual_funds_share_pct":[0.6024,0.6551,0.6812,0.8694,0.354,0.3701,0.4193,0.4792,0.6141,0.681,0.6795,0.8346,1.0105,1.1875,1.4506,1.6591,1.7739,3.2931,3.4049,2.5868,2.4783,2.7318,2.7941,2.8417,2.8364,2.9475,2.9386,3.1112,3.2627,3.2649,3.0623,3.2394,3.1234,3.1434,3.2613,3.2819,3.3661,3.5333,3.0026,2.9278,2.8582,2.8609,2.8345,2.8076,2.8679,2.9103],"nri_share_pct":[0.5935,0.6613,0.6418,0.6408,0.6574,0.6838,0.6922,0.7114,0.7881,0.8048,0.7955,0.8281,0.8796,0.8808,0.8465,0.849,0.8022,0.835,0.8273,0.7899,0.7937,0.8856,0.8597,0.8263,0.8247,0.8346,0.8566,0.8706,0.8809,0.9091,0.8728,0.8959,0.9105,0.9644,0.9796,0.9384,0.9421,1.0023,1.0859,1.0385,1.0777,1.0491,1.0484,1.0825,1.1558,1.1604],"other_share_pct":[2.3657,2.9935,3.5561,3.7115,3.7415,3.5502,3.4622,3.3052,3.4236,3.4597,5.1957,5.5125,5.4682,4.9246,4.9951,4.8719,4.4155,4.849,4.9376,7.2184,7.1515,7.4728,6.7447,6.3943,5.9413,5.6259,5.0837,4.8559,4.967,5.1239,4.7464,4.3665,4.4696,3.9911,3.7385,3.322,3.1904,3.3462,2.9032,3.3581,3.357,3.2456,3.2796,3.0419,2.6764,2.7424]}}