74.27 0.84 (1.14%)

33.33% Fall from 52W High

245.8K NSE+BSE Volume

NSE 28 Apr, 2025 3:31 PM (IST)

MF Mar-2021 Feb-2021 Jan-2021
AUM (Rs Cr) AUM % Shares Held Month Change in Shares Month Change in Shares % Shares Held Month Change in Shares % Shares Held Month Change in Shares %
ICICI Prudential Equity & Debt Fund Growth 4.39 0.03% 746,728 0 0% 746,728 0% 746,728 0%
Franklin India Flexi Cap Fund Growth 41.13 0.43% 7,000,000 0 0% 7,000,000 0% 7,000,000 0%
Franklin India ELSS Tax Saver Fund Growth 17.96 0.41% 3,057,159 0 0% 3,057,159 0% 3,057,159 0%
Franklin India Pension Plan Growth 0.91 0.20% 153,047 0 0% 153,047 0% 153,047 0%
Franklin India Equity Hybrid Fund Growth 7.55 0.55% 1,265,151 0 0% 1,265,151 0% 1,265,151 0%
Franklin India Debt Hybrid Fund Growth 0.58 0.31% 97,694 0 0% 97,694 0% 97,694 0%
ICICI Prudential Multi-Asset Fund Growth 21.02 0.19% 3,577,432 0 0% 3,577,432 0% 3,577,432 0%
Franklin India Equity Advantage Fund Growth 9.41 0.38% 1,601,194 -55,800 -3.37% 1,656,994 0% 1,656,994 0%
HDFC Hybrid Equity Fund Growth 29.08 0.17% 4,950,466 0 0% 4,950,466 0% 4,950,466 0%
HDFC Mid-Cap Opportunities Fund Growth 98.11 0.37% 16,700,369 0 0% 16,700,369 0% 16,700,369 0%
HDFC Small Cap Fund Growth 23.81 0.24% 4,053,227 0 0% 4,053,227 0% 4,053,227 0%
Aditya Birla Sun Life Balanced Advantage Fund Growth 7.74 0.27% 1,297,004 0 0% 1,297,004 0% 1,297,004 0%
HDFC Retirement Savings Fund - Equity Plan - Regular Plan 4.51 0.32% 767,040 0 0% 767,040 0% 767,040 0%
HDFC Retirement Savings Fund - Hybrid Equity Plan - Regular Plan 1.02 0.18% 173,573 0 0% 173,573 0% 173,573 0%
HDFC Childrens Fund(Lock-in) 3.96 0.09% 663,387 0 0% 663,387 0% 663,387 0%
ICICI Prudential BSE 500 ETF 0.00 0.01% 618 24 4.04% 594 0% 594 0%
Motilal Oswal Nifty Smallcap 250 Index Fund Regular Growth 0 -% 0 -21,327 -100% 21,327 6.76% 19,977 9.93%
Motilal Oswal Nifty 500 Fund Regular Growth 0 -% 0 -1,108 -100% 1,108 5.22% 1,053 1.35%
Nippon India Nifty Smallcap 250 Index Fund Reg Gr 0 -% 0 -24,247 -100% 24,247 -19.97% 30,297 154.70%
Total: 46,104,089 -102,458 46,206,547 46,211,192