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Moneycontrol.com - various mutual funds that have shares of Hindalco in their top 10 holdings
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MF Action in Hindalco : Bought by 42 schemes | Sold by 41 schemes | No Change in 46 schemes
 Hindalco held by mutual funds over the last 6 months
Scheme Name May '09 Jun '09 Jul '09 Aug '09 Sep '09 Oct '09 Assets
-- No. of shares -- No. of shr % (Rs.cr)
Benchmark Derivative Fund (G) - - - - 9,759 9,416 0.36 31.87
Benchmark Eqty & Deriv-Opp (G) 685 45,166 755 - 21,314 43,001 0.65 80.61
Benchmark Nifty BeES 113,212 168,597 188,531 181,520 179,372 190,382 1.00 231.98
Birla SL (I) Opportunities (G) 66,431 76,522 - - - - - -
Birla SL Freedom Fund (G) 50,455 167,258 170,196 183,649 181,767 167,271 0.90 225.34
Birla SL MIP II-Savings 5 (G) 24,947 - 29,380 - - - - -
Birla SL Pure Value Fund (G) 116,166 275,148 253,803 263,863 261,455 279,705 3.02 112.80
Birla SL Tax Relief 96 (D) 1,527,533 1,821,548 1,650,417 1,660,098 1,621,942 1,787,631 1.99 1,095.54
Birla SL Tax Relief 96 (G) 1,527,533 1,821,548 1,650,417 1,660,098 1,621,942 1,787,631 1.99 1,095.54
Birla Sun Life Index Fund (G) 18,084 36,424 30,395 29,832 23,818 23,622 0.97 29.81
Birla Sun Life Tax Plan (D) - 207,941 373,933 387,700 383,909 421,397 3.27 157.30
Birla Sun Life Tax Plan (G) - 207,941 373,933 387,700 383,909 421,397 3.27 157.30
Birla Sun Life Top 100 (G) - 818,051 748,832 782,152 721,481 583,710 1.88 378.83
Can Robeco Nifty Index (G) 4,964 7,255 7,017 7,131 7,134 7,016 0.98 8.70
DBS Chola Contra Fund (G) - 15,003 20,000 20,000 10,004 4,998 0.61 10.06
DBS Chola Growth Fund (G) - 20,000 15,010 15,021 15,025 14,990 1.14 16.05
DBS Chola Hedged Equity (G) - 30,006 30,000 30,000 24,998 22,503 1.45 18.85
DBS Chola Infrastructure (G) - 57,097 37,099 37,094 37,094 27,099 0.89 36.92
DBS Chola Multi-Cap Fund (G) - 30,006 30,000 30,000 30,004 27,501 1.76 19.04
DBS Chola Opportunities (G) - 100,000 70,070 70,099 65,099 39,967 0.85 57.53
DBS Chola Tax Saver Fund (G) - 40,000 40,040 25,035 25,037 22,485 1.00 27.37
Edelweiss Absolute Return Eqty (G) - - - - - 1,157 0.10 14.27
Edelweiss ELSS Fund (G) 188 205 296 296 - 298 1.04 0.35
Edelweiss Nifty Enhancer -A (G) - - - - - - - -
Edelweiss Nifty Enhancer -B (G) - - - 2,050 - - - -
Escorts High Yield Equity (G) - 10,138 - - - - - -
Escorts Infrastructure (G) - - 6,469 - - - - -
Fortis Equity Fund (G) 172,180 114,000 113,998 90,000 - - - -
Fortis Sustainable Development (G) 29,988 21,000 21,018 15,021 9,010 - - -
Fortis Tax Advantage Plan (G) 104,935 75,000 75,080 72,102 60,093 59,951 0.98 74.50
Franklin (I) Flexi Cap (G) 6,210,296 - - 2,175,300 - - - -
Franklin (I) Index - BSE (G) 43,008 41,885 47,378 46,800 45,340 50,859 1.14 54.18
Franklin (I) Index - NSE (G) 59,688 89,821 93,521 94,903 93,375 91,494 1.00 111.77
Franklin Build India Fund (G) - - - - 180,000 - - -
Franklin High Growth Cos (G) - - - 1,180,400 - - - -
Franklin India Index Tax Fund 1,557 2,229 2,254 2,211 2,179 2,075 0.97 2.59
Franklin India Oppor. (G) - - - - 330,900 341,909 0.71 583.81
Franklin India Prima Plus (G) 5,378,249 - - - - - - -
Franklin India Tax Shield (G) 400,000 - - - - - - -
HDFC Arbitrage Fund - RP (G) 103,804 117,895 134,818 102,545 - 277,796 1.09 310.55
HDFC Arbitrage Fund - WP (G) 191,261 260,318 373,892 265,065 - 699,024 1.09 781.43
HDFC Index - Nifty Plan 23,352 41,611 37,435 39,262 36,064 38,993 0.96 49.32
HDFC Index - Sensex Plan 58,040 62,380 67,895 59,884 53,649 56,779 1.12 61.93
HDFC Index - Sensex Plus Plan 13,375 13,375 13,375 13,375 13,375 13,375 0.32 50.54
ICICI Pru E & D- Income IO (G) - - 82,058 - - - - -
ICICI Pru E & D- Income RO (G) - - 85,145 - - - - -
ICICI Pru Index - Inst. Plan I - 30 - - 77 - - -
ICICI Pru Index Fund (G) 26,277 45,607 41,580 44,968 44,347 49,015 0.79 75.96
ICICI Pru SPIcE Plan 710 814 1,080 1,164 755 822 1.07 0.94
IDFC Arbitrage Plus-A (G) - 6,574 - 6,126 - - - -
IDFC Arbitrage Plus-B (G) - 2,797 - 2,876 - - - -
IDFC Enterprise Equity -A (G) - 628,385 604,854 606,412 550,500 571,528 0.87 801.85
IDFC Enterprise Equity -B (G) - - 2 5 72 11 0.87 0.02
IDFC Imperial Equity - A (G) - - - - 414,928 - - -
IDFC Imperial Equity - B (G) - - - - 42,478 - - -
ING Contra Fund (G) 14,991 27,000 36,036 35,900 36,000 35,970 2.60 16.90
ING Domestic Opp. (G) - 200,000 206,206 205,952 206,000 170,860 2.28 91.41
ING Midcap Fund (G) - 47,999 47,999 53,774 54,000 54,000 3.10 21.21
ING Nifty Plus Fund (G) 4,434 6,871 6,981 6,604 27,655 14,074 1.27 13.48
ING Tax Saving (G) - 70,000 90,090 89,750 90,000 89,926 2.49 44.06
JM Arbitrage Advantage (G) 29,545 344,766 - - - - - -
JM Nifty Plus Fund (G) 5,201 8,861 8,063 7,581 7,256 8,342 0.81 12.50
Kotak Contra (G) - - - 48,000 - - - -
Kotak Equity Arbitrage (G) 56,288 284,958 - - - - - -
Kotak Opportunities Fund (G) - - - 1,500,000 - - - -
LIC Infrastructure Sr-1 (G) - - - 20,000 - - - -
LIC MF Balanced C (G) - - - 49,929 39,938 65,053 2.77 28.58
LIC MF Growth Fund (G) - - - 50,000 - - - -
LIC MF Index - Nifty Plan (G) 62,038 87,761 94,138 95,089 90,657 91,661 1.00 111.95
LIC MF Index - Sensex Adv (G) 3,200 4,794 4,790 5,802 4,939 3,451 0.83 5.05
LIC MF Index - Sensex Plan (G) 29,169 38,706 43,074 38,341 35,986 36,069 1.12 39.17
LIC MF India Vision Fund (G) - - - 125,000 110,000 118,569 1.50 96.60
LIC MF Opportunities Fund (G) - - - 5,000 - - - -
LIC MF Tax Plan (G) - - - 25,000 - - - -
Mirae Global Commo-Stock (G) - - 110,110 - - 49,959 1.07 57.15
Principal Index Fund (G) 14,048 23,079 20,682 18,890 17,903 19,356 0.99 23.81
Quantum Index Fund (G) 952 1,169 1,089 1,009 1,009 900 1.00 1.10
Reliance Natural Resources (G) 10,092,100 7,598,484 7,606,089 7,609,275 4,093,846 5,102,943 1.40 4,441.37
Reliance RSF - Equity (G) 1,998,827 1,999,994 2,001,991 3,004,244 3,004,659 3,497,133 2.60 1,639.65
Religare Arbitrage Fund (G) - 330,689 - - - - - -
SBI Arbitrage Oppor. Fund (G) 77,348 563,038 80,710 - - 20,915 0.04 592.67
SBI Blue Chip Fund (G) 1,002,710 1,003,035 1,003,665 1,003,559 1,003,300 1,002,832 1.13 1,082.26
SBI Infrastructure - Sr I (G) - - - - 1,700,553 3,199,380 2.05 1,904.17
SBI Magnum Childrens Benefit 11,254 - - - - - - -
SBI Magnum Comma Fund (G) 1,681,546 2,181,943 2,181,666 2,181,711 2,081,770 2,081,863 4.41 575.96
SBI Magnum Contra Fund (G) 1,711,685 1,712,216 1,710,886 1,712,467 1,511,012 1,711,837 0.69 3,034.28
SBI Magnum Equity Fund (G) 500,153 499,867 - - - 549,923 1.80 372.78
SBI Magnum Income Plus -IP (G) 6,000 - - - - - - -
SBI Magnum Index Fund (G) 12,653 18,679 18,832 19,748 19,470 20,506 0.98 25.47
SBI Magnum MIP (G) 52,538 - - - - - - -
SBI Magnum MIP - Floater (G) 13,011 - - - - - - -
SBI Magnum Multicap Fund (G) 246,573 246,770 496,750 546,737 546,904 546,696 1.00 664.04
SBI One India Fund (G) - 1,200,453 1,199,697 1,200,225 1,200,240 699,776 0.76 1,130.30
SBI Tax Advantage Sr-1 (G) 598,760 602,705 587,557 629,919 521,893 632,349 1.16 663.64
Shinsei Industry Leaders Fund (G) - - - - 24,237 24,977 1.52 20.05
Sundaram Energy Oppor. (G) - 1,482,408 1,483,861 1,001,417 - - - -
Sundaram Growth Fund - RP (G) 199,882 201,908 200,200 300,425 414,955 424,651 3.30 156.88
Sundaram Leadership - RP (G) 379,532 449,907 450,000 450,000 434,604 450,000 3.21 170.63
Sundaram Rural India Fund (G) 349,793 349,958 - - - - - -
Sundaram Select Focus - IP (G) 100 - - - - 437 3.30 0.16
Sundaram Select Focus - RP (G) 2,418,178 4,306,038 3,653,182 3,508,091 4,541,091 3,599,013 3.30 1,328.22
Sundaram Select Midcap -RP (G) - 3,148,435 2,815,115 3,845,829 2,617,328 1,847,501 1.27 1,769.04
Sundaram Tax Saver (G) 732,929 2,021,030 2,023,049 2,956,064 1,861,720 1,216,014 1.28 1,156.14
Tata Contra Fund (G) 357,143 357,143 357,285 357,137 357,144 357,138 3.65 119.31
Tata Equity P/E Fund (G) 307,143 307,137 307,385 307,142 307,140 307,142 2.08 179.74
Tata Index Fund Nifty Plan (A) - 7,507 7,976 7,585 7,369 - - -
Tata Index Fund Sensex Plan (A) - 7,958 - 7,690 7,396 - - -
Tata Select Equity Fund (G) 300,000 300,000 300,399 300,000 300,000 300,000 3.09 118.30
Taurus Infrastructure (G) 36,479 - - - - - - -
Templeton (I) Equity Income (G) 2,550,256 2,000,000 2,000,000 2,000,000 2,000,000 2,000,000 2.22 1,100.82
Templeton (I) Growth Fund (G) 832,552 832,552 832,552 832,552 832,552 832,552 2.61 388.32
UTI Balanced Fund (G) 945,150 945,150 945,150 945,150 945,150 945,150 1.17 986.65
UTI CCP Advantage Fund (G) 134 134 134 134 134 134 - -
UTI Childrens Career Balanced 1,481,215 1,481,215 1,481,215 1,481,215 1,481,215 1,481,215 0.69 2,615.65
UTI CRTS 81(G) 4,013 4,013 4,013 4,013 4,013 - - -
UTI Dividend Yield Fund (G) 1,317,366 1,317,366 1,667,366 2,668,366 2,300,000 1,800,000 1.42 1,549.47
UTI Equity Fund (G) - 1,000,000 1,000,000 - - - - -
UTI India Lifestyle Fund(G) - - - 1,750 - - - -
UTI Infrastructure Fund (G) 2,000,000 3,000,000 3,000,000 3,500,000 3,000,000 2,700,000 1.95 1,691.46
UTI Master Index Fund (G) 51,720 49,834 50,885 51,004 53,179 54,875 1.15 58.01
UTI Mastershare (G) - - - 1,836,805 1,836,805 1,836,805 0.96 2,327.33
UTI Monthly Income Scheme (G) 70,000 70,000 70,000 70,000 70,000 70,000 0.56 153.16
UTI Nifty Index Fund (G) 150,854 247,668 250,247 237,549 233,403 235,432 0.99 288.43
UTI Opportunities Fund (G) 1,400,000 1,400,000 700,000 2,400,000 2,400,000 2,400,000 3.78 772.67
UTI SPrEAD Fund (G) 112,417 237,363 237,363 233,878 233,878 233,878 0.48 590.71
UTI SUNDER 5,805 8,591 8,573 8,743 8,724 4,761 0.98 5.94
UTI Top 100 Fund (G) - 13,571 13,571 15,306 - - - -
UTI VIS - Index Linked (G) 10,805 6,570 6,570 6,550 5,463 5,428 0.35 18.75
UTI Wealth Builder Fund (G) - 500,000 1,000,000 1,000,000 1,000,000 1,949,860 2.64 898.94
TOTAL 50,505,408 52,636,868 49,945,168 61,215,658 51,184,695 53,038,114
* 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 month-end portfolios disclosed by AMCs (mutual funds).
For Oct '09, it displays data for 35 out of the total 39 AMCs.
 

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