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BSE
Thursday, January 30, 2025 12:29:00 PM   
Adani Ports  1111.20  (13.95)  
 
Asian Paints  2253.55  (31.90)  
 
Axis Bank  986.00  (2.70)  
 
Bajaj Finance  7982.55  (224.45)  
 
Bajaj Finserv  1808.30  (18.90)  
 
Bharti Airtel  1619.05  (19.55)  
 
HCL Technologi...  1725.00  (5.65)  
 
HDFC Bank  1687.05  (9.95)  
 
Hind. Unilever  2402.75  (18.55)  
 
ICICI Bank  1248.00  (-3.35)  
 
IndusInd Bank  967.30  (18.85)  
 
Infosys  1867.55  (-13.30)  
 
ITC  435.60  (2.20)  
 
Kotak Mah. Ban...  1914.35  (-6.10)  
 
Larsen & Toubr...  3424.80  (-24.35)  
 
M & M  3002.05  (75.85)  
 
Maruti Suzuki  12018.95  (45.80)  
 
Nestle India  2200.10  (19.00)  
 
NTPC  322.70  (1.50)  
 
Power Grid Cor...  295.75  (7.95)  
 
Reliance Indus...  1254.75  (18.95)  
 
St Bk of India  762.40  (3.70)  
 
Sun Pharma.Ind...  1730.90  (-5.80)  
 
Tata Motors  705.30  (-47.15)  
 
Tata Steel  132.10  (1.30)  
 
TCS  4098.60  (2.25)  
 
Tech Mahindra  1689.25  (9.15)  
 
Titan Company  3386.35  (17.85)  
 
UltraTech Cem.  11509.85  (-35.55)  
 
Zomato Ltd  219.65  (-2.85)  
 

Mutual Fund Holdings


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Federal Bank Ltd
Banks - Private Sector
BSE Code 500469 ISIN Demat INE171A01029 Book Value 128.12 NSE Symbol FEDERALBNK Div & Yield % 0.64 Market Cap ( Cr.) 45,650.11 P/E 11.62 EPS 16 Face Value 2
Scheme Name Amount Invested ( Cr.) % Net Assets Total NAV ( Cr.)
HDFC Mid-Cap Opportunities Fund 2,536.75 3.25 77,967.21
Nippon India Growth Fund 800.08 2.27 35,277.81
Kotak Emerging Equity Fund 703.05 1.32 53,078.98
Canara Robeco Emerging Equities 603.12 2.42 24,886.60
AXIS Midcap Fund 579.27 1.88 30,828.75
SBI Magnum Midcap Fund 540.05 2.48 21,818.37
Franklin India Prima Fund 468.84 3.73 12,570.21
Mirae Asset Large & Midcap Fund 433.41 1.13 38,335.26
Mirae Asset Midcap Fund 426.19 2.55 16,693.99
DSP Midcap Fund 425.52 2.21 19,296.70