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SCHEME NAME Mar '15 Dec '14 Sep '14 Jun '14 Mar '14 Dec '13
 
AUM
(Rs. cr.)
No. of
share
%
No. of share No. of share No. of share No. of share No. of share
Baroda Pioneer Balance (Bonus)-- -20,094 - - - -
Baroda Pioneer Balance (G)-- -20,094 1,659 - - -
Baroda Pioneer Balance - Direct (G)-- -131 37 - - -
Baroda Pioneer Infra. - Direct (G)-- -- - - 12 7
Baroda Pioneer Infrastructure (G)-- -- - - 25,010 14,714
Baroda Pioneer PSU Eqty -Direct (G)-- -- 103 105 46 16
Baroda Pioneer PSU Equity Fund (G)-- -- 16,266 39,034 71,886 38,931
Birla SL Emer. Leaders-Sr 4-DP (G)-- -- 1,813 - - -
Birla SL Emer. Leaders-Sr 4-RP (G)-- -- 29,004 - - -
Birla SL Index Fund -Direct (G)293.6546,948 0.62%55,484 62,848 6,449 104 95
Birla SL Pure Value - Direct (G)-- -- 6,504 - - -
Birla SL Pure Value Fund (G)-- -- 47,075 - - -
Birla Sun Life Index Fund (G)239.4838,287 0.62%42,882 75,686 10,809 3,367 4,105
Birla Sun Life Nifty ETF2.01311 0.60%225 222 216 266 292
BOI AXA Eqty Debt Rebalancer-DP (G)-- -- - 190 - -
BOI AXA Eqty Debt Rebalancer-RP (G)-- -- - 5,147 - -
BOI AXA Equity Fund - Direct (G)-- -124 207 104 - -
BOI AXA Equity Fund -RP (G)-- -66,594 43,644 8,382 - -
BOI AXA Equity Fund-Eco (G)-- -402 1,199 921 - -
BOI AXA Focused Infra.- Direct (G)-- -- - 26 14 7
BOI AXA Focused Infrast. (G)-- -- - 2,836 4,792 4,050
DSP-BR Natural Resou. - Direct (G)-- -- - - - 199
DSP-BR Natural Resources-RP(G)-- -- - - - 58,925
DSP-BR Top 100 Equity - Direct (G)-- -143,454 177,102 67,039 39,633 10,645
DSP-BR Top 100 Equity - IP (G)-- -28,124 40,409 25,681 44,412 20,868
DSP-BR Top 100 Equity - RP (G)-- -1,007,871 1,460,043 904,833 1,495,038 661,795
Edelweiss E.D.G.E. Top 100 -A (G)-- -- 4,177 - - -
Edelweiss E.D.G.E. Top 100 -B (G)-- -- 101 - - -
Edelweiss E.D.G.E. Top 100 -C (G)-- -- 62 - - -
Edelweiss EDGE Top 100 -Direct (G)-- -- 84 - - -
Edelweiss Eqty Enhancer - Direct (G)0.0413 1.23%9 - - - -
Edelweiss Equity Enhancer - Plan B (G)0.1548 1.23%56 - - - -
Edelweiss Value Opportunities Fund (G)0.2992 1.23%74 - - - -
Franklin (I) Growth Fund (G)535.2024,775 0.18%24,389 22,885 22,750 56,670 224,563
Franklin (I) Index - BSE (G)-- -- - 9,497 10,252 10,844
Franklin (I) Index - NSE (G)186.5029,336 0.61%30,247 25,953 21,014 23,838 26,408
Franklin (I) Index-NSE -Direct (G)25.223,967 0.61%3,846 2,902 2,328 4,926 7,880
GS CNX 500 Fund (G)65.897,136 0.42%7,259 7,496 7,290 8,096 8,949
GS CNX 500 Fund - Direct (G)3.54383 0.42%369 380 313 273 232
GS CPSE ETF2,372.687,649,451 12.50%8,748,253 9,180,803 9,289,730 15,704,349 -
GS Nifty BeES888.93140,010 0.61%145,382 102,054 109,061 75,059 80,596
GS Shariah BeES1.16673 2.26%641 641 635 526 534
HDFC Capital Builder - Direct (G)-- -4,508 3,698 2,608 1,881 1,400
HDFC Capital Builder Fund (G)-- -143,875 136,461 131,564 141,840 143,721
HDFC Equity Fund (G)-- -- 690,868 177,913 - -
HDFC Equity Fund - Direct (G)-- -- 74,585 16,887 - -
HDFC Growth Fund (G)-- -144,242 - - - -
HDFC Growth Fund - Direct (G)-- -3,530 - - - -
HDFC Index - Nifty Plan86.3613,362 0.60%13,779 13,205 12,755 10,416 10,419
HDFC Index - Nifty Plan - Direct11.601,794 0.60%1,388 1,055 663 482 387
HDFC Index - Sensex Plan58.5611,747 0.78%11,482 11,264 10,046 8,857 9,373
HDFC Index - Sensex Plan - Direct24.874,989 0.78%4,042 2,938 940 387 269
HDFC Index - Sensex Plus - Direct29.065,456 0.73%4,405 4,455 2,359 2,101 1,835
HDFC Index - Sensex Plus Plan99.2018,624 0.73%18,221 17,637 16,011 17,444 18,491
HDFC Infrastructure - Direct (G)-- -7,018 51,839 42,945 18,865 12,821
HDFC Infrastructure Fund (G)-- -85,077 640,124 503,562 238,667 257,399
HDFC Multiple Yield - Direct (G)3.32908 1.06%861 810 573 548 -
HDFC Multiple Yield Fund (G)71.9519,668 1.06%19,186 19,534 18,766 19,495 -
HDFC Premier MultiCap (G)-- -- - - 174,005 174,340
HDFC Premier MultiCap -Direct (G)-- -- - - 1,232 1,099
HDFC RGESS -Sr 1-Feb-13 (G)161.7920,388 0.49%68,300 67,861 62,626 27,444 28,683
HDFC RGESS -Sr 1-Feb-13- Direct (G)2.44308 0.49%1,026 1,017 940 412 429
HDFC RGESS -Sr 2 - Direct (G)-- -511 505 468 68 -
HDFC RGESS -Sr 2 - Regular (G)-- -29,255 29,126 26,936 3,810 -
HDFC Tax Saver (G)-- -- - 496,863 358,394 366,031
HDFC Tax Saver - Direct (G)-- -- - 9,204 5,138 4,124
HDFC Top 200 Fund (G)-- -1,334,386 2,707,818 2,534,017 2,644,711 2,203,806
HDFC Top 200 Fund - Direct (G)-- -65,727 115,450 88,162 74,247 50,599
ICICI Pru Balanced Adv (G)5,340.171,306,676 0.95%1,225,528 1,143,128 - - -
ICICI Pru Balanced Adv - Direct (G)137.9033,743 0.95%28,648 22,450 - - -
ICICI Pru Eqty-Arbitrage-Direct (G)-- -- 23,579 - - -
ICICI Pru Eqty-Arbitrage-DP (Bonus)-- -- 23,579 - - -
ICICI Pru Equity-Arbitrage- IP (G)-- -- - - - -
ICICI Pru Equity-Arbitrage- RP (G)-- -- 50,433 - - -
ICICI Pru Focused Bluechip Eqty (G)7,991.7920,402 0.01%2,703,511 2,985,533 1,607,976 - -
ICICI Pru Focused Bluechip Eqty-IO 0.01- 0.01%7 9 513 - -
ICICI Pru Focused. Blue -Direct (G)735.541,878 0.01%197,106 193,567 87,661 - -
ICICI Pru Index Fund (G)75.9710,854 0.55%10,700 12,494 12,369 12,016 12,243
ICICI Pru Index Fund - Direct (G)16.142,306 0.55%1,676 1,380 1,070 1,255 704
ICICI Pru SPIcE Plan3.99775 0.75%635 236 280 282 282
ICICI Pru Top 100 Fund (G)-- -- 326,569 - - -
ICICI Pru Top 100 Fund - Direct (G)-- -- 15,402 - - -
ICICI Pru Top 100 Fund -Inst -I-- -- 3 - - -
ICICI Pru Value Discovery - DP (G)-- -- 49,352 71,106 68,580 66,541
ICICI Pru Value Discovery - Inst -I-- -- - 2,252 17,195 20,221
ICICI Pru Value Discovery Fund (G)-- -- 840,944 1,300,047 1,498,909 1,536,388
ICICI Pru Value Fund - Sr 5-DP (G)-- -- 763 - - -
ICICI Pru Value Fund - Sr 5-RP (G)-- -- 80,241 - - -
ICICI Prudential CNX 100 ETF26.823,517 0.51%3,588 - 3,616 3,506 3,528
ICICI Prudential Nifty ETF209.3332,773 0.61%1,026 1,026 960 1,604 1,364
IDBI Nifty Index Fund (G)75.4811,678 0.60%12,352 12,643 12,764 14,202 -
IDBI Nifty Index Fund - Direct (G)18.052,793 0.60%1,579 181 136 127 -
IDBI RGESS Fund -Sr I-Plan A-DP (G)-- -- - 103 - -
IDBI RGESS Fund -Sr I-Plan A-RP (G)-- -- - 4,571 - -
IDFC Arbitrage - Inst (G)-- -- 50 769 - -
IDFC Arbitrage Fund - Direct (G)-- -- 1,356 14,780 - -
IDFC Arbitrage Fund - Regular (G)-- -- 3,068 30,584 - -
IDFC Equity Fund - Direct (G)1.78748 1.63%737 616 471 375 -
IDFC Equity Fund - Plan B (G)0.0313 1.63%12 124,329 12 13 -
IDFC Equity Fund - Regular Plan (G)311.37130,875 1.63%126,008 124,329 119,195 122,718 -
IDFC Equity Opport. -Sr 2- Dir (DP)-- -- - - 20,942 -
IDFC Equity Opport. -Sr 2- Reg (DP)-- -- - - 209,082 -
IDFC Equity Opport. -Sr 3- Dir (DP)-- -- - 8,471 3,218 -
IDFC Equity Opport. -Sr 3- Reg (DP)-- -- - 94,551 35,976 -
IDFC Imperial Equity - Direct (G)-- -- - 3,493 3,075 -
IDFC Imperial Equity - Plan B (G)-- -- - 2,087 2,042 -
IDFC Imperial Equity - Regular (G)-- -- - 43,513 45,280 -
IDFC Nifty Fund - Direct (G)8.671,297 0.58%983 791 632 247 -
IDFC Nifty Fund - Regular Plan (G)16.262,432 0.58%2,204 2,396 2,226 1,775 -
IDFC Premier Equity - B (G)-- -- - - 33,734 -
IDFC Premier Equity - Direct (G)-- -- - - 105,758 -
IDFC Premier Equity - Regular (G)-- -- - - 2,601,220 -
IDFC Tax Saver Fund (G)-- -- - - 20,000 -
IIFL Nifty ETF6.69938 0.61%1,175 1,317 1,337 1,613 1,936
Indiabulls Blue Chip Fund (G)-- -- 805 989 1,091 1,532
Indiabulls Blue Chip Fund - Dir (G)-- -- 123 93 86 117
JM Arbitrage Advantage (G)-- -- 26,731 - - -
JM Arbitrage Advantage -Direct (G)-- -- 28,908 - - -
Kotak Equity Arbitrage - Direct (G)-- -15,345 880 - - -
Kotak Equity Arbitrage - Regular (G)-- -66,467 3,067 - - -
Kotak Multi AAF - Direct (G)-- -- 1 - - -
Kotak Multi Asset Allocation - RP (G)-- -- 388 - - -
Kotak Nifty ETF94.4314,887 0.61%7,553 8,273 12,749 19,008 8,640
Kotak Sensex ETF7.931,556 0.76%1,577 1,597 1,533 1,663 1,672
L&T Infrastructure (G)-- -- 37,202 10,337 10,255 13,250
L&T Infrastructure -Direct (G)-- -- 1,105 395 126 92
LIC NOMURA Index - Nifty Plan (G)12.091,777 0.57%2,115 2,501 3,105 3,808 4,752
LIC NOMURA Index - Sensex Adv (G)3.74510 0.53%515 547 599 660 759
LIC NOMURA Index - Sensex Plan (G)9.871,878 0.74%2,488 3,135 3,269 3,782 4,115
LIC NOMURA Index Nifty- Direct (G)1.37201 0.57%150 112 75 69 70
LIC NOMURA Index Sen Adv-Direct (G)0.1926 0.53%20 15 13 15 7
LIC NOMURA Index Sensex- Direct (G)1.35257 0.74%227 203 90 46 38
Motilal MOSt Shares M50 ETF27.604,325 0.61%4,778 4,205 27,915 - -
Principal Dividend Yield (G)-- -- - - - 23,899
Principal Dividend Yield-Direct (G)-- -- - - - 38
Principal Index Fund (G)7.611,197 0.61%1,221 1,287 1,206 1,157 2,279
Principal Index Fund - Direct (G)7.181,129 0.61%1,125 1,013 501 490 9
Principal Large Cap - Direct (G)-- -- 753 651 - -
Principal Large Cap Fund (G)-- -- 26,780 26,307 - -
Principal Personal Tax Saver-- -- 32,884 31,368 - -
Principal SMART Equity - Direct (G)-- -- 49 39 - -
Principal SMART Equity Fund (G)-- -- 2,412 3,607 - -
Quantum Index Fund (G) 3.32523 0.61%542 542 869 462 474
Quantum Long-Term Equity (G) 417.30282,069 2.62%282,069 282,069 211,114 173,789 173,789
Quantum Tax Saving Fund (G)33.2224,203 2.83%22,085 22,085 17,765 14,081 14,081
R*shares CNX 100 ETF45.586,088 0.52%2,096 1,037 1,041 1,109 1,113
R*Shares Nifty ETF23.913,765 0.61%3,778 4,689 5,212 2,561 2,959
R*Shares Sensex ETF72.2514,175 0.76%16,261 5,358 - - -
Reliance Index - Nifty -Direct (G)3.26513 0.61%486 457 283 277 257
Reliance Index -Sensex -Direct (G)0.92175 0.74%131 121 146 121 114
Reliance Index Fund - Nifty (G)32.755,151 0.61%5,271 5,388 5,164 5,375 6,304
Reliance Index Fund - Sensex (G)3.53672 0.74%597 668 769 746 792
Religare Invesco Bus-Leaders (G)-- -- - - 5,813 -
Religare Invesco Bus-Leaders-DP (G)-- -- - - 31 -
Religare Invesco Infra. -Direct (G)-- -131 82 14 11 -
Religare Invesco Infrastructure (G)-- -7,026 7,502 6,759 9,043 -
Religare Invesco Nifty ETF1.58249 0.61%250 250 270 297 -
Religare Invesco PSU Equity (G)-- -116,803 92,241 51,631 81,307 -
Religare Invesco PSU Equity-DP (G)-- -1,044 761 408 1,096 -
Sahara Growth Fund (G)6.402,393 1.45%4,026 4,487 5,485 7,619 7,933
Sahara Growth Fund - Direct (G)1.47550 1.45%423 434 101 131 90
Sahara Infrastructure-FPO (G)2.081,352 2.52%1,330 1,778 1,696 1,065 1,089
Sahara Infrastructure-FPO-Direct(G)0.0213 2.52%13 16 8 6 6
Sahara Infrastructure-VPO (G)3.132,034 2.52%1,982 2,675 2,609 1,714 1,796
Sahara Infrastructure-VPO-Direct(G)0.0958 2.52%38 64 24 6 6
Sahara Power & Natural -Direct (G)0.31123 1.54%1,328 275 29 - -
Sahara Power&Natural Res. (G)2.37941 1.54%1,669 1,876 1,752 - -
Sahara Super 20 Fund (G)-- -- 495 555 819 -
Sahara Super 20 Fund -Direct (G)-- -- 34 23 22 -
Sahara Taxgain (G)11.335,623 1.93%5,346 6,452 6,756 - -
Sahara Taxgain - Direct (G)0.77382 1.93%307 328 302 - -
SBI Nifty Index Fund (G)29.914,705 0.61%4,349 4,292 4,676 5,022 5,558
SBI Nifty Index Fund - Direct (G)34.325,398 0.61%1,696 457 415 234 162
SBI PSU Fund (G)-- -- 255,182 214,139 229,634 254,778
SBI PSU Fund - Direct (G)-- -- 5,407 2,366 1,108 965
SBI Sensex ETF4.21866 0.80%846 1,083 1,012 850 1,186
SBI-ETF BSE 100 11.531,597 0.54%- - - - -
Shriram Equity & Debt Opp -Dir (G)8.031,077 0.52%1,072 876 3,025 - -
Shriram Equity & Debt Opp -Reg (G)25.733,450 0.52%3,355 2,647 3,025 - -
Sundaram Eqty Multiplier-Direct (G)0.4196 0.91%54 38 20 16 -
Sundaram Equity Multiplier (G)128.6630,191 0.91%29,101 29,942 27,915 34,021 -
Sundaram Growth Fund - RP (G)-- -46,462 25,147 24,054 - -
Sundaram Growth Fund -Direct (G)-- -509 244 210 - -
Sundaram Infrastructure Adv -DP (G)-- -- 219 91,279 - -
Sundaram Infrastructure Adv -RP (G)-- -- 121,831 91,279 - -
Sundaram PSU Opport. -Direct (G)1.01599 2.30%803 947 417 272 -
Sundaram PSU Opportunities (G)129.9377,060 2.30%121,799 150,025 131,224 141,695 -
Tata Index Fund - Nifty - Direct1.16182 0.61%154 140 118 118 103
Tata Index Fund - Sensex - Direct1.65320 0.75%304 288 269 260 242
Tata Index Fund Nifty Plan (A)5.36843 0.61%873 910 887 931 1,033
Tata Index Fund Sensex Plan (A)5.06981 0.75%976 988 1,016 1,121 1,258
Tata Index Fund Sensex Plan (B)5.06981 0.75%976 988 1,016 1,121 1,258
Tata Retirement Sav. - Progresive-- -- 20,136 19,266 - -
Tata RSF - Progresive - Direct-- -- 313 243 - -
Taurus Nifty Index - Direct (G)0.012 0.61%2 2 2 - -
Taurus Nifty Index Fund (G)0.5587 0.61%87 75 78 118 -
Templeton (I) Equity Income (G)1,067.41192,153 0.70%182,656 177,329 169,312 292,251 363,912
Templeton (I) Equity Income - Dir (G)19.943,590 0.70%3,080 2,745 2,500 3,821 4,130
Templeton India Growth Fund - Dir (G)20.62955 0.18%859 753 677 1,483 5,089
Union KBC Equity Fund (G)-- -- - 12,320 20,964 32,526
Union KBC Equity Fund - Direct (G)-- -- - 364 2,241 4,051
UTI CCP Advantage Fund (G)-- -- - 7,096 7,540 7,732
UTI CCP Advantage Fund - Direct (G)-- -- - 51 39 30
UTI Dividend Yield Fund (G)3,209.971,527,181 1.85%1,607,054 1,783,439 1,731,715 1,715,925 1,955,863
UTI Dividend Yield Fund -Direct (G)51.3224,416 1.85%27,361 29,538 26,001 22,873 22,540
UTI Energy Fund (G)238.19213,745 3.48%220,538 221,078 187,479 198,597 211,286
UTI Energy Fund - Direct (G)2.232,001 3.48%1,943 2,010 737 209 187
UTI Infrastructure Fund (G)-- -- - - 169,719 -
UTI Infrastructure Fund -Direct (G)-- -- - - 125 -
UTI Nifty Index Fund (G)156.2124,571 0.61%24,926 23,712 23,996 26,733 27,421
UTI Nifty Index Fund - Direct (G)37.775,941 0.61%4,568 4,571 1,591 830 480
UTI Opportunities Fund (G)-- -- - 279,173 - -
UTI Opportunities Fund - Direct (G)-- -- - 13,559 - -
UTI RGESS (G)33.425,343 0.62%5,298 5,222 5,006 4,858 5,171
UTI RGESS - Direct Plan (G)1.47235 0.62%233 230 220 213 227
UTI Unit Linked Ins Plan - Direct-- -- 866 682 496 489,521
UTI Unit Linked Insurance Plan-- -- 463,017 461,095 479,539 489,521
Total 12,109,733 19,494,845 25,907,200 22,105,894 29,858,491 10,261,390
Note :
* For schemes that have not disclosed the number of shares, the same has been calculated on the basis of the closing price of the stock on the BSE/NSE as on the portfolio date. The increase/decrease in the share quantity besides the fund buying or selling the shares from the market, could also be due to any bonus, split, rights, or restructuring in the company.
** The numbers in green / red indicate increase /decrease, respectively in the no. of shares over the shares mentioned in the previous month.
PLEASE NOTE : This report is based on the quarter-end portfolios disclosed by AMCs (mutual funds). Starting October 2010, select AMCs have stopped declaring monthly AUM (Assets under Management) and value of the stock in their Portfolio, hence the number of shares for the schemes from these AMCs could not be incorporated in the above report.
For Mar '15, it displays data for 41 out of the total 43 AMCs.
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