SENSEX NIFTY

Hindalco Industries

BSE: 500440|NSE: HINDALCO|ISIN: INE038A01020|SECTOR: Aluminium
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SCHEME NAME Mar '16 Dec '15 Sep '15 ' ' '
 
AUM
(Rs. cr.)
No. of
share
%
No. of share No. of share No. of share No. of share No. of share
Baroda Pioneer Balance (G)-- -872,437 - - - -
Baroda Pioneer Balance - Direct (G)-- -3,010 - - - -
Baroda Pioneer Growth (G)-- -258,743 - - - -
Baroda Pioneer Growth -Direct (G)-- -35,722 - - - -
Baroda Pioneer Infra. - Direct (G)-- -423 - - - -
Baroda Pioneer Infrastructure (G)-- -24,475 - - - -
Birla SL Dividend Yield (G)-- -- 458,085 - - -
Birla SL Dividend Yield -Direct (G)-- -- 10,979 - - -
Birla SL Dynamic AAF (G)4.425,528 1.10%- 4,912 - - -
Birla SL Dynamic AAF - Direct (G)0.18225 1.10%- 142 - - -
Birla SL Enhanced Arbit.-Direct (G)671.301,274,669 1.67%- - - - -
Birla SL Enhanced Arbitrage-RP (G)394.19748,490 1.67%- - - - -
Birla SL Frontline Eqty-Direct (G)1,591.6190,535 0.05%- - - - -
Birla SL Frontline Equity (G)8,459.32481,190 0.05%- - - - -
Birla SL Index Fund -Direct (G)165.6064,018 0.34%106,771 121,908 - - -
Birla SL Infrastructure (G)547.15267,509 0.43%451,349 - - - -
Birla SL Infrastructure -Direct (G)44.8221,913 0.43%38,804 - - - -
Birla SL Intl. Equity - B (G)93.26100,793 0.95%92,763 - - - -
Birla SL Intl. Equity B -Direct (G)0.69746 0.95%654 - - - -
Birla SL Long Term Adv. -Direct (G)-- -17,586 - - - -
Birla SL Long Term Advan. (G)-- -388,545 - - - -
Birla SL Special Situat.-Direct (G)1.813,583 1.74%- - - - -
Birla SL Special Situations(G)115.92229,466 1.74%- - - - -
Birla SL Top 100 - Direct (G)167.8040,066 0.21%71,101 58,945 - - -
Birla Sun Life Index Fund (G)293.29113,381 0.34%116,722 108,634 - - -
Birla Sun Life Nifty ETF30.6213,363 0.38%11,799 1,412 - - -
Birla Sun Life Top 100 (G)1,570.50374,991 0.21%718,311 748,216 - - -
BOI AXA Reg. Return-EP (G)-- -- 15 - - -
BOI AXA Reg. Return-RP (G)-- -- 9,824 - - -
BOI AXA Regular Return -Direct (G)-- -- 267 - - -
DSP-BR Balanced Fund (G)929.911,120,756 1.06%1,098,385 - - - -
DSP-BR Balanced Fund -Direct (G)28.0833,843 1.06%39,098 - - - -
DSP-BR Equity Fund - Direct (G)490.92284,672 0.51%- - - - -
DSP-BR Equity Fund - Inst66.9838,840 0.51%- - - - -
DSP-BR Equity Fund - RP (G)1,743.781,011,174 0.51%- - - - -
DSP-BR India TIGER - Direct (G)117.36201,608 1.51%- - - - -
DSP-BR India TIGER - RP (G)1,187.682,040,269 1.51%- - - - -
DSP-BR Natural Resou. - Direct (G)1.098,159 6.58%6,169 - - - -
DSP-BR Natural Resources-RP(G)47.06352,281 6.58%309,599 - - - -
DSP-BR Opportunities - Direct (G)85.39324,278 3.34%143,494 - - - -
DSP-BR Opportunities - RP (G)684.642,599,997 3.34%1,173,499 - - - -
DSP-BRTax Saver Fund (G)1,037.842,041,459 1.73%- - - - -
DSP-BRTax Saver Fund -Direct (G)18.2835,957 1.73%- - - - -
Franklin (I) Index - NSE (G)162.4475,725 0.41%71,424 78,207 - - -
Franklin (I) Index-NSE -Direct (G)43.1420,111 0.41%21,076 20,830 - - -
GS CNX 500 Fund (G)53.4616,412 0.27%17,852 18,706 - - -
GS CNX 500 Fund - Direct (G)3.741,148 0.27%1,203 1,227 - - -
GS Nifty BeES965.43435,937 0.40%371,995 394,862 - - -
HDFC Arbitrage Fund - Direct (G)3.035,891 1.71%- - - - -
HDFC Arbitrage Fund - RP (G)15.4430,020 1.71%- - - - -
HDFC Arbitrage Fund - WP (G)1,395.952,714,127 1.71%- - - - -
HDFC Arbitrage Fund - WP - DP (G)1,118.532,174,743 1.71%- - - - -
HDFC Equity saving Fund (G)108.0542,999 0.35%- - - - -
HDFC Equity saving Fund - Direct Plan (G14.535,782 0.35%- - - - -
HDFC Index - Nifty Plan84.8540,520 0.42%- 37,810 - - -
HDFC Index - Nifty Plan - Direct68.7632,836 0.42%- 20,038 - - -
HDFC Index - Sensex Plan-- -- 31,802 - - -
HDFC Index - Sensex Plan - Direct-- -- 15,876 - - -
HDFC Index - Sensex Plus - Direct-- -- 15,898 - - -
HDFC Index - Sensex Plus Plan-- -- 48,066 - - -
HDFC Top 200 Fund (G)10,000.002,109,315 0.18%- 2,235,641 - - -
HDFC Top 200 Fund - Direct (G)974.61199,579 0.18%- 191,381 - - -
ICICI Pru Dynamic Plan (G)4,511.594,308,966 0.84%11,879,081 12,534,632 - - -
ICICI Pru Dynamic Plan - Direct (G)608.00580,694 0.84%1,388,257 1,212,662 - - -
ICICI Pru Dynamic Plan - Inst.0.66630 0.84%1,677 1,710 - - -
ICICI Pru Dynamic Plan - IP (G)0.66630 0.84%1,677 1,710 - - -
ICICI Pru Eqty-Arbitrage-Direct (G)1,029.8093,671 0.08%36,406 122,508 - - -
ICICI Pru Eqty-Arbitrage-DP (Bonus)1,029.8093,671 0.08%36,406 122,508 - - -
ICICI Pru Equity Income Fund-DP (G)19.1318,488 0.85%17,101 19,036 - - -
ICICI Pru Equity Income Fund-RP (G)568.95549,866 0.85%515,930 548,856 - - -
ICICI Pru Equity Savings-Sr1-DP (G)0.571,160 1.79%1,201 1,221 - - -
ICICI Pru Equity Savings-Sr1-RP (G)62.20126,592 1.79%129,620 134,559 - - -
ICICI Pru Equity-Arbitrage- IP (G)0.00- 0.08%- - - - -
ICICI Pru Equity-Arbitrage- RP (G)2,515.30228,794 0.08%93,192 301,928 - - -
ICICI Pru Index Fund (G)75.9732,824 0.38%28,919 30,034 - - -
ICICI Pru Index Fund - Direct (G)93.2340,281 0.38%28,651 20,966 - - -
ICICI Pru SPIcE Plan-- -- 2,490 - - -
ICICI Pru Top 100 Fund (G)1,166.421,777,149 1.34%3,586,123 3,875,894 - - -
ICICI Pru Top 100 Fund - Direct (G)93.68142,730 1.34%268,616 260,246 - - -
ICICI Pru Value Fund - Sr 1-DP (D)58.1982,750 1.25%150,828 158,829 - - -
ICICI Pru Value Fund - Sr 1-RP (D)790.681,124,403 1.25%2,054,105 2,169,668 - - -
ICICI Pru Value Fund - Sr 3-DP (D)-- -- 3,712 - - -
ICICI Pru Value Fund - Sr 3-RP (D)-- -- 375,840 - - -
ICICI Pru Value Fund - Sr 6-DP (G)0.42865 1.81%897 938 - - -
ICICI Pru Value Fund - Sr 6-RP (G)175.71361,815 1.81%377,403 394,341 - - -
ICICI Prudential CNX 100 ETF25.249,556 0.33%9,641 9,667 - - -
ICICI Prudential Nifty ETF516.30236,963 0.40%136,994 108,858 - - -
IDBI Nifty Index Fund (G)86.7340,431 0.41%41,476 33,157 - - -
IDBI Nifty Index Fund - Direct (G)32.8815,328 0.41%4,859 2,906 - - -
IDFC Arbitrage - Inst (G)-- -5,018 319 - - -
IDFC Arbitrage Fund - Direct (G)-- -495,991 23,603 - - -
IDFC Arbitrage Fund - Regular (G)-- -681,051 26,698 - - -
IDFC Arbitrage Plus - Regular (G)286.97169,670 0.52%15,512 76,701 - - -
IDFC Nifty Fund - Direct (G)41.4818,394 0.39%- 13,092 - - -
IDFC Nifty Fund - Regular Plan (G)22.059,778 0.39%- 8,512 - - -
Invesco India Nifty ETF-- -646 673 - - -
JM Arbitrage Advantage (G)-- -389,116 812,985 - - -
JM Arbitrage Advantage -Direct (G)-- -1,243,187 2,139,071 - - -
Kotak Balance - Direct Plan (G)-- -- 647 - - -
Kotak Balance - Regular Plan (G)-- -- 52,000 - - -
Kotak Classic Equity - Direct (G)-- -- 1,945 - - -
Kotak Classic Equity - Regular (G)-- -- 44,644 - - -
Kotak Equity Arbitrage - Direct (G)1,876.22981,309 0.46%1,589,034 - - - -
Kotak Equity Arbitrage - Regular (G)2,473.831,293,874 0.46%2,204,805 - - - -
Kotak Equity Savings Fund - Direct (G)21.183,612 0.15%9,057 - - - -
Kotak Equity Savings Fund - Regular (G)752.99128,424 0.15%301,782 - - - -
Kotak Monthly Income Plan - Direct (G)0.95389 0.36%- - - - -
Kotak Monthly Income Plan - Regular (G)117.2547,993 0.36%- - - - -
Kotak Nifty ETF304.99137,970 0.40%91,598 61,100 - - -
Kotak Sensex ETF-- -- 5,030 - - -
L&T Business Cycles - Direct (G)35.2417,239 0.43%17,657 17,539 - - -
L&T Business Cycles - Regular (G)1,139.83557,596 0.43%558,472 585,807 - - -
L&T Infrastructure (G)-- -145,884 161,943 - - -
L&T Infrastructure -Direct (G)-- -7,432 7,383 - - -
LIC NOMURA Index - Nifty Plan (G)10.484,766 0.40%4,686 4,800 - - -
LIC NOMURA Index - Sensex Plan (G)-- -- 5,986 - - -
LIC NOMURA Index Nifty- Direct (G)5.042,292 0.40%2,188 2,206 - - -
LIC NOMURA Index Sensex- Direct (G)-- -- 963 - - -
LIC NOMURA MF ETF - CNX Nifty 50318.32147,311 0.41%91,989 - - - -
LIC NOMURA MF ETF - Nifty 100208.2080,372 0.34%- - - - -
Mirae Global Commo-Stock (G)-- -11,855 13,392 - - -
Mirae Global Commo-Stock-Direct (G)-- -502 492 - - -
Motilal MOSt Shares M50 ETF2,268.5210,257 0.40%10,509 10,859 - - -
Principal Balanced (G)-- -28,386 - - - -
Principal Balanced - Direct (G)-- -445 - - - -
Principal Dividend Yield (G)97.17108,274 0.98%- - - - -
Principal Dividend Yield-Direct (G)0.88981 0.98%- - - - -
Principal Emer-Bluechip -Direct (G)23.2226,665 1.01%- - - - -
Principal Emerging Bluechip(G)452.43519,561 1.01%- - - - -
Principal Growth Fund (G)-- -438,776 - - - -
Principal Growth Fund -Direct (G)-- -8,455 - - - -
Principal Index Fund (G)6.382,902 0.40%2,919 3,087 - - -
Principal Index Fund - Direct (G)17.537,973 0.40%8,394 8,786 - - -
Principal Tax Savings-- -314,577 - - - -
Principal Tax Savings - Direct-- -2,368 - - - -
Quantum Index Fund (G) 3.551,650 0.41%1,498 1,574 - - -
R*shares CNX 100 ETF6.292,372 0.33%2,408 2,416 - - -
R*Shares Nifty ETF26.9012,090 0.40%12,425 46,534 - - -
R*Shares Sensex ETF-- -- 23,658 - - -
Reliance Arbitrage Adv.- Direct (G)1,440.99229,379 0.14%297,606 158,051 - - -
Reliance Arbitrage Advantage (G)1,852.87294,942 0.14%398,375 190,489 - - -
Reliance Index - Nifty -Direct (G)40.1617,808 0.39%16,747 14,734 - - -
Reliance Index -Sensex -Direct (G)-- -- 909 - - -
Reliance Index Fund - Nifty (G)30.4213,489 0.39%13,752 14,219 - - -
Reliance Index Fund - Sensex (G)-- -- 2,001 - - -
SBI - ETF BSE 1001.52600 0.35%600 608 - - -
SBI - ETF Nifty 506,262.092,849,075 0.40%1,539,436 544,341 - - -
SBI - ETF Sensex-- -- 207,878 - - -
SBI Childrens Benefit - Direct0.64560 0.77%878 614 - - -
SBI Dynamic Asset Allocation Fund-DP (G)4.86663 0.12%688 705 - - -
SBI Dynamic Asset Allocation Fund-RP (G)140.4619,165 0.12%20,092 20,356 - - -
SBI Equity Savings Fund-DP (G)16.591,698 0.09%- - - - -
SBI Equity Savings Fund-RP (G)170.4417,441 0.09%- - - - -
SBI Magnum Childrens Benefit29.6725,976 0.77%43,279 32,537 - - -
SBI Magnum Comma Fund (G)174.63665,163 3.35%449,489 - - - -
SBI Magnum Comma Fund - Direct (G)1.987,542 3.35%4,787 - - - -
SBI Nifty Index Fund (G)29.0412,877 0.39%12,940 12,881 - - -
SBI Nifty Index Fund - Direct (G)144.8364,223 0.39%54,791 74,969 - - -
Sundaram Growth Fund - RP (G)199.3483,909 0.37%- 101,108 - - -
Sundaram Growth Fund -Direct (G)5.522,324 0.37%- 2,660 - - -
Tata Index Fund - Nifty - Direct Plan4.161,892 0.40%2,018 2,443 - - -
Tata Index Fund - Nifty - Regular Plan4.762,165 0.40%2,282 2,325 - - -
Tata Index Fund - Sensex - Direct-- -- 955 - - -
Tata Index Fund - Sensex - Regular Plan-- -- 2,617 - - -
Taurus Bonanza Fund (G)21.848,945 0.36%- - - - -
Taurus Bonanza Fund -Direct (G)0.25102 0.36%- - - - -
Taurus Nifty Index - Direct (G)0.029 0.40%9 9 - - -
Taurus Nifty Index Fund (G)0.34155 0.40%184 226 - - -
Taurus Star Share (G)171.0062,253 0.32%- - - - -
Taurus Star Share - Direct (G)0.57208 0.32%- - - - -
Taurus Tax Shield (G)57.0021,399 0.33%- - - - -
Taurus Tax Shield - Direct (G)0.87327 0.33%- - - - -
UTI Balanced Fund (G)1,234.681,179,228 0.84%1,078,605 - - - -
UTI Balanced Fund - Direct (G)11.6011,079 0.84%9,081 - - - -
UTI CRTS 81 - Direct (G)17.157,215 0.37%3,209 - - - -
UTI CRTS 81(G)412.99173,742 0.37%89,917 - - - -
UTI Monthly Income Scheme (G)261.8950,621 0.17%52,968 - - - -
UTI Monthly Income Scheme-Direct(G)4.07787 0.17%828 - - - -
UTI Multi Cap Fund - DP (G)0.00- 0.25%958 942 - - -
UTI Multi Cap Fund - RP (G)332.8094,599 0.25%98,505 100,789 - - -
UTI Nifty Index Fund (G)126.7759,097 0.41%59,760 63,584 - - -
UTI Nifty Index Fund - Direct (G)179.9383,879 0.41%70,781 50,237 - - -
UTI Retirement Benefit - Direct34.8118,998 0.48%13,291 - - - -
UTI Retirement Benefit Pension1,576.78860,551 0.48%630,671 - - - -
UTI RGESS (G)-- -13,823 14,355 - - -
UTI RGESS - Direct Plan (G)-- -610 633 - - -
UTI SPrEAD Fund (G)501.9639,951 0.07%- - - - -
UTI SPrEAD Fund - Direct (G)71.945,726 0.07%- - - - -
UTI Wealth Builder Sr-2 RP (G)368.57100,633 0.24%107,100 113,196 - - -
UTI Wealth Builder Sr-2- Direct (G)5.181,414 0.24%1,449 1,447 - - -
UTI-Focussed Equity - Sr I-DP (G)29.4045,128 1.35%47,596 47,533 - - -
UTI-Focussed Equity - Sr I-RP (G)685.281,051,879 1.35%1,113,557 1,116,663 - - -
Total 44,179,691 42,201,353 34,144,018 0 0 0
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 '16, it displays data for 36 out of the total 44 AMCs.
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