1. MARKETS
  2. SECTOR : SOFTWARE & SERVICES
  3. INDUSTRY : INTERNET SOFTWARE & SERVICES
  4. C.E. INFO SYSTEMS LTD.
C.E. Info Systems Ltd. NSE: MAPMYINDIA | BSE: 543425
1791.00 -4.90 (-0.27%)
132.1K
NSE+BSE Volume

NSE 18 Jul, 2025 1:58 PM (IST)

Dividend
C.E. Info Systems Ltd. last dividend of ₹3.50 per share was given on 18 Jul 2025 See details
MF Jul-2025 Jun-2025 May-2025
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 %
Motilal Oswal Nifty Smallcap 250 ETF - -% - - -% 838 12.94% 742 -0.54%
Motilal Oswal Nifty Smallcap 250 Index Fund Regular Growth - -% - - -% 6,876 0.84% 6,819 2.10%
Motilal Oswal Digital India Fund Regular Growth - -% - - -% 218,568 6.80% 204,646 0%
Motilal Oswal Nifty 500 Fund Regular Growth - -% - - -% 1,786 1.48% 1,760 3.41%
Motilal Oswal Nifty 500 ETF - -% - - -% 101 1% 100 3.09%
UTI Innovation Fund Regular Growth - -% - - -% 166,346 0% 166,346 0%
HDFC Nifty Smallcap 250 Index Fund Regular Growth - -% - - -% 3,729 6.18% 3,512 2.66%
Bandhan Nifty Smallcap 250 Index Fund Regular Growth - -% - - -% 424 4.18% 407 -0.25%
HDFC Nifty Smallcap 250 ETF - -% - - -% 9,238 7.79% 8,570 1.73%
Edelweiss Nifty Smallcap 250 Index Fund Regular Growth - -% - - -% 1,043 3.47% 1,008 4.13%
Bandhan Small Cap Fund Regular Growth - -% - - -% - -% 0 -100%
HDFC BSE 500 ETF - -% - - -% 13 0% 13 0%
HDFC BSE 500 Index Fund Regular Growth - -% - - -% 185 2.78% 180 2.27%
Bandhan Nifty Total Market Index Fund Regular Growth - -% - - -% 28 -3.45% 29 3.57%
ICICI Prudential Child Care Fund (Gift Plan) - -% - - -% 31,508 0% 31,508 0%
Mirae Asset BSE Select IPO ETF - -% - - -% 213 -30.84% 308 4.76%
ICICI Prudential BSE 500 ETF - -% - - -% 233 -11.07% 262 -8.39%
ICICI Prudential Nifty 500 Index Fund Regular Growth - -% - - -% 19 5.56% 18 5.88%
Kotak Nifty Smallcap 250 Index Fund Regular Growth - -% - - -% 201 8.65% 185 7.56%
Franklin India Technology Fund Growth - -% - - -% 144,535 0% 144,535 -6.47%
ICICI Prudential Nifty Smallcap 250 Index Fund Regular Growth - -% - - -% 3,800 2.93% 3,692 0.85%
Franklin India Multi Cap Fund Regular Growth - -% - - -% 235,860 0% 235,860 0%
Franklin India Opportunities Fund Growth - -% - - -% 837,502 0% 837,502 0%
Tata Small Cap Fund Regular Growth - -% - - -% 1,777,369 53.11% 1,160,843 0%
Navi Nifty 500 Multicap 50 25 25 Index Fund Regular Growth - -% - - -% 51 -5.56% 54 14.89%
Mirae Asset Nifty500 Multicap 50:25:25 ETF - -% - - -% 84 -5.62% 89 -2.20%
ICICI Prudential Technology Fund Growth - -% - - -% 773,094 119.05% 352,926 -16.80%
ICICI Prudential Retirement Fund Pure Equity Plan Regular Growth - -% - - -% 109,126 0% 109,126 0%
ICICI Prudential Retirement Fund Hybrid Aggressive Plan Regular Growth - -% - - -% 104,153 0% 104,153 0%
ICICI Prudential Flexicap Fund Regular Growth - -% - - -% 96,251 0% 96,251 0%
SBI Nifty Smallcap 250 Index Fund Regular Growth - -% - - -% 10,729 1.57% 10,563 1.98%
Groww Nifty Smallcap 250 Index Fund Regular Growth - -% - - -% 837 0.97% 829 1.59%
Mirae Asset Nifty Total Market Index Fund Regular Growth - -% - - -% 30 0% 30 3.45%
Nippon India Nifty 500 Equal Weight Index Fund Regular Growth - -% - - -% 5,100 24.30% 4,103 -3.14%
Angel One Nifty Total Market Index Fund Regular Growth - -% - - -% 29 7.41% 27 8%
Nippon India Nifty Smallcap 250 Index Fund Reg Gr - -% - - -% 17,399 3.36% 16,834 2.04%
Groww Nifty Total Market Index Fund Regular Growth - -% - - -% 223 2.29% 218 3.32%
Axis Nifty 500 Index Fund Regular Growth - -% - - -% 174 0% 174 -6.45%
SBI Nifty 500 Index Fund Regular Growth - -% - - -% 649 0.15% 648 -0.15%
Angel One Nifty Total Market ETF - -% - - -% 19 18.75% 16 23.08%
Union Innovation & Opportunities Fund Regular Growth - -% - - -% 88,846 0% 88,846 0%
Motilal Oswal Large Cap Fund Regular Growth - -% - - -% 420,018 100% - -%
Motilal Oswal Services Fund Regular Growth - -% - - -% 9,300 100% - -%
ICICI Prudential Quality Fund Regular Growth - -% - - -% 80,000 100% - -%
ICICI Prudential Multi-Asset Fund Growth - -% - - -% 41,011 100% - -%
Total: 0 0 5,197,538 3,593,732