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SCHEME NAME Jun '15 Mar '15 Dec '14 Sep '14 Jun '14 Mar '14
 
AUM
(Rs. cr.)
No. of
share
%
No. of share No. of share No. of share No. of share No. of share
Axis Enhanced Arbitrage Fund-DP (G)19.122,998 0.66%- - - - -
Axis Enhanced Arbitrage Fund-RP (G)103.2516,190 0.66%- - - - -
Axis Equity Fund (G)1,569.88257,357 0.69%896,839 584,763 508,211 335,999 -
Axis Equity Fund - Direct (G)165.3427,105 0.69%84,151 29,158 13,183 6,422 -
Axis Mid Cap Fund (G)1,074.34995,468 3.90%1,021,960 602,529 369,268 212,866 -
Axis Mid Cap Fund - Direct (G)56.9752,788 3.90%54,485 31,880 14,468 2,821 -
Baroda Pioneer Balance (G)100.5727,000 1.13%54,036 14,924 1,991 - -
Baroda Pioneer Balance - Direct (G)1.55416 1.13%1,190 97 45 - -
Baroda Pioneer ELSS 96 - Plan B Dir (Bo)0.69315 1.92%108 38 14 - -
Baroda Pioneer ELSS 96 - Plan B Dir (G)0.69315 1.92%108 - - - -
Baroda Pioneer ELSS 96 - Plan-A (Bonus)41.3418,858 1.92%15,636 9,465 4,719 - -
Baroda Pioneer ELSS 96 - Plan-A (G)41.3418,858 1.92%15,636 - - - -
Baroda Pioneer MIP Fund (G)19.452,033 0.44%2,352 2,100 1,308 - -
Baroda Pioneer MIP Fund-Direct (G)0.5254 0.44%51 37 20 - -
Birla SL 95 Fund -Direct (G)105.4917,293 0.69%14,433 7,229 6,033 - -
Birla SL Emer. Leaders-Sr 1-DP (G)2.712,299 3.57%2,348 2,195 2,482 1,362 -
Birla SL Emer. Leaders-Sr 1-RP (G)231.83196,634 3.57%200,611 187,875 212,684 119,293 -
Birla SL Emer. Leaders-Sr 2-DP (G)2.10519 1.04%528 - - - -
Birla SL Emer. Leaders-Sr 2-RP (G)186.0145,961 1.04%46,798 - - - -
Birla SL Emer. Leaders-Sr 3-DP (G)2.081,166 2.36%1,206 121,349 1,870 - -
Birla SL Emer. Leaders-Sr 3-RP (G)224.85126,074 2.36%130,939 1,115 202,995 - -
Birla SL Emer. Leaders-Sr 4-DP (G)7.424,231 2.40%4,402 4,051 3,865 - -
Birla SL Emer. Leaders-Sr 4-RP (G)118.2767,438 2.40%70,245 64,761 61,834 - -
Birla SL Emer. Leaders-Sr 5-DP (G)0.67287 1.80%289 - - - -
Birla SL Emer. Leaders-Sr 5-RP (G)46.4219,852 1.80%19,890 - - - -
Birla SL Equity Fund -Direct (G)187.29165,531 3.72%128,553 58,142 27,480 3,550 -
Birla SL Focused Equity-Sr 1-DP (G)0.35284 3.42%282 174 175 - -
Birla SL Focused Equity-Sr 1-RP (G)73.2259,495 3.42%58,647 36,035 36,848 - -
Birla SL Focused Equity-Sr 2-DP (G)0.75611 3.43%598 363 360 - -
Birla SL Focused Equity-Sr 2-RP (G)55.8645,521 3.43%44,881 27,132 27,247 - -
Birla SL Focused Equity-Sr 3-DP (G)0.67544 3.42%534 223 - - -
Birla SL Focused Equity-Sr 3-RP (G)123.13100,049 3.42%98,575 41,729 - - -
Birla SL Focused Equity-Sr 4-DP (G)0.55447 3.42%439 - - - -
Birla SL Focused Equity-Sr 4-RP (G)79.5064,597 3.42%63,645 - - - -
Birla SL Focused Equity-Sr 5-DP (G)0.71575 3.41%47 - - - -
Birla SL Focused Equity-Sr 5-RP (G)96.1477,890 3.41%5,931 - - - -
Birla SL Manufacturing Equity - DP (G)26.0030,392 4.92%17,668 - - - -
Birla SL Manufacturing Equity - RP (G)920.381,075,854 4.92%602,508 - - - -
Birla SL Pure Value - Direct (G)51.6913,386 1.09%13,106 11,149 22,121 - -
Birla SL Pure Value Fund (G)369.1395,593 1.09%93,016 79,977 160,121 - -
Birla SL Special Situat.-Direct (G)1.67924 2.33%817 481 345 - -
Birla SL Special Situations(G)136.6075,618 2.33%73,954 74,760 76,775 - -
Birla SL Top 100 - Direct (G)113.9214,616 0.54%10,389 6,387 5,559 - -
Birla Sun Life 95 Fund (G)1,350.69221,425 0.69%221,704 170,112 178,273 - -
Birla Sun Life Equity Fund (G)1,887.221,667,964 3.72%1,697,209 1,229,250 1,041,879 313,130 -
Birla Sun Life Top 100 (G)1,415.34181,583 0.54%194,728 145,779 145,360 - -
BNP Paribas Dividend Yield (G)139.4936,455 1.10%- - - - -
BNP Paribas Dividend Yield -Dir (G)2.91761 1.10%- - - - -
BNP Paribas Mid Cap Fund (G)-- -- - - - 26,592
BNP Paribas Mid Cap Fund -Dir (G)-- -- - - - 90
BOI AXA Equity Fund - Direct (G)-- -604 311 - - -
BOI AXA Equity Fund -RP (G)-- -322,307 166,928 - - -
BOI AXA Equity Fund-Eco (G)-- -1,145 1,008 - - -
DSP-BR Opportunities - Direct (G)-- -7,080 - - - -
DSP-BR Opportunities - RP (G)-- -175,806 - - - -
DSP-BRTax Saver Fund (G)-- -183,247 - - - -
DSP-BRTax Saver Fund -Direct (G)-- -1,947 - - - -
Edelweiss Arbitrage Fund - Dir (G)-- -- - 23,284 - -
Edelweiss Arbitrage Fund - Reg (G)-- -- - 37,809 - -
Edelweiss ELSS Fund (G)-- -11,619 - - - -
Edelweiss ELSS Fund - Direct (G)-- -182 - - - -
Edelweiss Select Midcap -Direct (G)-- -172 - 78 - -
Edelweiss Select Midcap Fund (G)-- -5,880 - 4,331 - -
Escorts High Yield Eqty -Direct (G)-- -25 14 - - -
Escorts High Yield Equity (G)-- -3,642 3,835 4,102 3,610 -
GS CNX 500 Fund (G)60.292,435 0.17%2,674 2,817 2,812 2,708 3,141
GS CNX 500 Fund - Direct (G)3.73151 0.17%144 143 142 116 106
GS Junior BeES98.2832,140 1.38%31,138 33,910 30,067 31,680 29,255
HDFC Arbitrage Fund - Direct (G)3.7818 0.02%- - - - -
HDFC Arbitrage Fund - RP (G)19.2291 0.02%- - - - -
HDFC Arbitrage Fund - WP (G)110.24524 0.02%- - - - -
HDFC Arbitrage Fund - WP - DP (G)30.06143 0.02%- - - - -
HDFC Capital Builder - Direct (G)31.166,589 0.89%5,810 - - - -
HDFC Capital Builder Fund (G)876.25185,285 0.89%170,679 - - - -
HDFC Focused Equity Fund - Plan A-DP (G)5.261,062 0.85%455 - - - -
HDFC Focused Equity Fund - Plan A-RP (G)140.7128,416 0.85%12,146 - - - -
HDFC RGESS -Sr 2 - Direct (G)1.38170 0.52%173 170 84 - -
HDFC RGESS -Sr 2 - Regular (G)79.179,781 0.52%9,918 9,719 4,842 - -
HDFC Top 200 Fund (G)10,000.00504,316 0.17%- - - - -
HDFC Top 200 Fund - Direct (G)911.4936,815 0.17%- - - - -
ICICI Pru Balanced Adv (G)6,107.95638,512 0.44%670,848 350,436 - - -
ICICI Pru Balanced Adv - Direct (G)164.4917,195 0.44%17,323 8,192 - - -
ICICI Pru Blended Plan - A (G)-- -- 118,563 24,134 - -
ICICI Pru Blended Plan-A-Direct (G)-- -- 59,110 14,609 - -
ICICI Pru CCP - Gift Plan291.20197,869 2.86%201,787 - - - -
ICICI Pru CCP - Gift Plan -Direct3.612,453 2.86%1,982 - - - -
ICICI Pru Dividend Yield - DP (G)10.209,597 3.96%9,000 7,935 7,526 3,488 -
ICICI Pru Dividend Yield - RP (G)305.81287,719 3.96%286,471 264,463 266,824 130,148 -
ICICI Pru Dynamic Plan (G)5,416.811,119,654 0.87%1,235,227 1,199,543 974,395 684,606 -
ICICI Pru Dynamic Plan - Direct (G)438.4690,630 0.87%82,611 64,148 38,557 16,080 -
ICICI Pru Dynamic Plan - Inst.0.78161 0.87%222 225 225 453 -
ICICI Pru Dynamic Plan - IP (G)0.78161 0.87%222 225 10 312 -
ICICI Pru Eqty-Arbitrage-Direct (G)679.03111,316 0.69%84,588 76,877 57,370 - -
ICICI Pru Eqty-Arbitrage-DP (Bonus)679.03111,316 0.69%84,588 76,877 57,370 - -
ICICI Pru Equity Income Fund-DP (G)14.382,597 0.76%1,740 - - - -
ICICI Pru Equity Income Fund-RP (G)526.7295,107 0.76%90,118 43,567 - - -
ICICI Pru Equity-Arbitrage- IP (G)0.00- 0.69%- - - - -
ICICI Pru Equity-Arbitrage- RP (G)1,590.38260,718 0.69%164,671 245,304 122,708 - -
ICICI Pru Indo Asia Eqty IP(G)0.00- 2.02%- - - - -
ICICI Pru Indo Asia Eqty RP(G)148.3871,211 2.02%- - - - -
ICICI Pru Indo Asia Eqty-Direct (G)7.533,614 2.02%- - - - -
ICICI Pru Nifty Junior - Direct (G)7.152,327 1.37%2,820 1,627 1,365 1,555 324
ICICI Pru Nifty Junior Index (G)21.246,913 1.37%15,667 7,386 8,465 4,823 2,552
ICICI Pru Tax Plan (G)2,529.161,063,581 1.77%1,045,221 1,043,394 - 527,190 -
ICICI Pru Tax Plan- Direct (G)96.0340,383 1.77%33,050 25,979 - 9,501 -
ICICI Pru Top 100 Fund (G)1,561.91363,666 0.98%323,433 451,205 253,443 151,720 -
ICICI Pru Top 100 Fund - Direct (G)91.8521,386 0.98%19,820 21,314 11,953 6,688 -
ICICI Pru Top 100 Fund -Inst -I-- -- - 3 429 -
ICICI Pru Value Fund - Sr 3-DP (D)3.053,000 4.14%3,050 3,831 - - -
ICICI Pru Value Fund - Sr 3-RP (D)309.82304,741 4.14%310,282 390,760 - - -
ICICI Pru Value Fund - Sr 4-DP (G)1.641,453 3.73%1,912 2,090 1,977 848 -
ICICI Pru Value Fund - Sr 4-RP (G)170.89151,442 3.73%203,522 224,154 217,495 93,629 -
ICICI Pru Value Fund - Sr 6-DP (G)0.47342 3.06%- - - - -
ICICI Pru Value Fund - Sr 6-RP (G)200.13145,497 3.06%- - - - -
ICICI Prudential CNX 100 ETF27.091,335 0.21%1,330 1,355 - 1,366 1,371
IDBI India Top 100 Eqty -Direct (G)8.833,357 1.60%1,146 - - 257 -
IDBI India Top 100 Equity Fund (G)146.7355,778 1.60%32,241 - - 8,501 -
IDBI Nifty Junior Index -Direct (G)1.72544 1.33%494 378 313 245 185
IDBI Nifty Junior Index Fund (G)28.929,138 1.33%9,523 9,727 10,528 10,414 11,712
IDFC Arbitrage - Inst (G)22.881,848 0.34%1,485 2,351 2,213 4,394 1,996
IDFC Arbitrage Fund - Direct (G)1,457.98117,775 0.34%53,381 70,380 59,550 84,466 28,522
IDFC Arbitrage Fund - Regular (G)1,654.14133,620 0.34%90,452 162,954 134,666 174,775 61,772
IDFC Arbitrage Plus - Regular (G)377.3739,449 0.44%26,502 80,900 19,837 31,183 13,279
IDFC Arbitrage Plus-B (G)-- -8 87 34 90 46
IDFC Classic Equity - Plan B (G)0.0846 2.44%45 35 35 - -
IDFC Classic Equity - Regular (G)172.2299,838 2.44%101,644 79,990 79,258 - -
IDFC Classic Equity -Direct (G)2.631,525 2.44%1,229 827 750 - -
IDFC Equity Opport. -Sr 2- Dir (DP)32.1525,283 3.31%27,265 25,503 27,293 24,009 -
IDFC Equity Opport. -Sr 2- Reg (DP)315.00247,719 3.31%268,006 251,805 270,700 239,020 -
IDFC Equity Opport. -Sr 3- Dir (DP)9.038,539 3.98%8,251 8,160 7,990 - -
IDFC Equity Opport. -Sr 3- Reg (DP)99.4394,020 3.98%91,098 90,389 88,911 - -
IDFC Premier Equity - B (G)29.918,243 1.16%9,940 12,742 15,910 17,297 21,376
IDFC Premier Equity - Direct (G)604.32166,551 1.16%153,304 141,237 121,838 79,354 67,016
IDFC Premier Equity - Regular (G)6,451.441,778,016 1.16%1,711,485 1,667,004 1,597,216 1,495,664 1,648,338
Indiabulls Blue Chip Fund (G)19.165,781 1.27%3,971 - - - -
Indiabulls Blue Chip Fund - Dir (G)2.14646 1.27%460 - - - -
JM Arbitrage Advantage (G)1,596.56188,674 0.50%360,456 501,575 265,718 306,023 -
JM Arbitrage Advantage -Direct (G)3,253.90384,531 0.50%324,886 553,246 287,356 148,076 -
Kotak 50 - Direct Plan (G)23.065,205 0.95%2,253 1,704 1,296 1,294 -
Kotak 50 - Regular Plan (G)709.52160,144 0.95%154,724 152,483 126,734 142,150 -
Kotak Balance - Regular Plan (D)-- -- - 28,210 31,000 -
Kotak Classic Equity - Direct (G)-- -- - 330 248 -
Kotak Classic Equity - Regular (G)-- -- - 31,086 28,592 -
Kotak Equity Arbitrage - Direct (G)1,497.94217,093 0.61%101,525 174,342 89,164 170,312 71,591
Kotak Equity Arbitrage - Regular (G)2,271.01329,132 0.61%206,933 755,148 310,649 461,332 209,548
Kotak Equity Savings Fund - Direct (G)-- -- 2,430 - - -
Kotak Equity Savings Fund - Regular (G)-- -- 89,320 - - -
Kotak Mid-Cap Fund - Direct (G)-- -1,417 1,407 1,151 544 -
Kotak Mid-Cap Fund - Regular(G)-- -94,865 102,444 91,371 65,899 -
Kotak Monthly Income Plan - Direct (G)-- -- - - 151 -
Kotak Monthly Income Plan - Regular (G)-- -- - - 5,679 -
L&T Arbitrage Oppor. - Direct (G)73.491,048 0.06%- - 47,922 - -
L&T Arbitrage Oppor. - Regular (G)83.351,188 0.06%- - 18,398 - -
L&T Long Term Adv. Fund - I (G)1.85690 1.57%690 690 1,003 - -
L&T Tax Saver Fund (G)29.4712,000 1.71%12,000 12,000 15,799 - -
Mirae (I) Opportunities -Direct (G)62.6321,427 1.44%12,671 11,563 8,134 5,882 3,678
Mirae (I) Opportunities-RP (G)1,015.72347,502 1.44%203,887 195,686 156,132 130,344 93,219
Mirae Emerging Bluechip -Direct (G)44.7525,304 2.38%17,749 15,031 10,520 5,561 1,639
Mirae Emerging Bluechip Fund (G)684.63387,127 2.38%285,334 255,117 186,361 112,111 92,002
Motilal MOSt Shares Midcap 100 ETF-- -44,854 45,271 45,772 98,720 -
Principal Dividend Yield (G)116.3624,881 0.90%28,893 29,032 23,593 - -
Principal Dividend Yield-Direct (G)1.03220 0.90%225 115 68 - -
Principal Emer-Bluechip -Direct (G)15.364,379 1.20%3,418 2,143 859 - -
Principal Emerging Bluechip(G)468.59133,597 1.20%127,522 114,297 60,279 - -
Principal Index Fund-Midcap-DP (G)10.122,861 1.19%2,818 2,843 3,472 3,253 -
Principal Index Fund-Midcap-RP (G)3.691,043 1.19%1,062 942 1,108 1,052 -
Quantum Long-Term Equity (G) 433.68361,299 3.51%361,299 361,299 338,417 296,512 273,139
Quantum Tax Saving Fund (G)34.6533,306 4.05%33,306 29,607 27,958 26,306 19,797
R*shares CNX 100 ETF6.75334 0.21%2,299 790 392 393 434
Reliance Arbitrage Adv.- Direct (G)656.7723,406 0.15%- - 94,950 124,706 -
Reliance Arbitrage Advantage (G)828.1429,513 0.15%- - 138,822 105,281 -
Reliance Mid & Small Cap - Direct (G)67.3624,486 1.53%28,001 14,793 9,012 - -
Reliance Mid & Small Cap Fund (G)2,235.98812,794 1.53%957,105 592,384 587,540 - -
Reliance NRI Equity - Direct (G)-- -- 1,058 1,166 1,055 -
Reliance NRI Equity Fund (G)-- -- 48,530 73,985 69,234 -
Religare Invesco Arbitrage -Dir (G)177.598,861 0.21%- 71,501 36,251 55,863 749
Religare Invesco Arbitrage Fund (G)210.4510,500 0.21%- 139,471 51,855 96,044 2,436
Sahara Midcap Fund (G)-- -- - - 1,876 6,171
Sahara Midcap Fund - Direct (G)-- -- - - 2,741 73
Sahara Power & Natural -Direct (G)0.32356 4.68%338 2,147 371 - -
Sahara Power&Natural Res. (G)2.182,424 4.68%2,586 2,699 2,531 - -
Sahara Star Value Fund (G)-- -- - - - 1,301
Sahara Star Value Fund -Direct (G)-- -- - - - 37
Sahara Taxgain (G)-- -- - 8,537 - -
Sahara Taxgain - Direct (G)-- -- - 433 - -
Sahara Wealth Plus - FPO (G)-- -- - - - 1,000
Sahara Wealth Plus - VPO (G)-- -- - - - 5,627
Sahara Wealth Plus -FPO -Direct (G)-- -- - - - 27
Sahara Wealth Plus -VPO -Direct (G)-- -- - - - 95
SBI Childrens Benefit - Direct0.41147 1.51%71 58 - - -
SBI Magnum Childrens Benefit29.1210,447 1.51%10,438 10,342 - - -
SBI-ETF BSE 100 1.5782 0.22%597 - - - -
SBI-ETF Nifty Junior10.803,541 1.38%3,540 - - - -
Sundaram Eqty Multiplier-Direct (G)0.88199 0.95%96 - - - -
Sundaram Equity Multiplier (G)126.9828,660 0.95%30,167 - - - -
Sundaram Rural India -Direct (G)0.71206 1.22%- - - - -
Sundaram Rural India Fund (G)122.3235,455 1.22%- - - - -
Taurus Bonanza Fund (G)23.496,865 1.23%17,239 9,560 6,598 6,200 -
Taurus Bonanza Fund -Direct (G)0.1956 1.23%14 4 3 3 -
Taurus Discovery Fund (G)32.399,311 1.21%19,735 18,932 18,827 16,825 -
Taurus Discovery Fund -Direct (G)0.40115 1.21%127 116 108 83 -
Taurus MIP Advantage -Direct (G)-- -27 30 28 21 -
Taurus MIP Advantage Fund (G)-- -2,776 2,754 2,654 5,542 -
Taurus Star Share (G)201.7466,144 1.38%128,566 123,639 95,220 105,350 -
Taurus Star Share - Direct (G)0.48157 1.38%74 75 56 55 -
Templeton (I) Equity Income (G)1,029.783,077,841 12.58%3,245,699 3,050,799 2,957,844 2,883,708 3,130,515
Templeton (I) Equity Income - Dir (G)20.8962,437 12.58%60,632 51,437 45,783 42,579 40,935
Templeton India Growth Fund (G)502.651,782,980 14.93%1,896,206 1,845,315 1,755,544 1,822,932 1,939,542
Templeton India Growth Fund - Dir (G)21.2275,271 14.93%73,056 65,025 57,733 54,255 50,772
UTI CCP Advantage Fund (G)126.5929,775 0.99%16,646 - - - -
UTI CCP Advantage Fund - Direct (G)1.83430 0.99%207 - - - -
UTI Dividend Yield Fund (G)3,014.981,805,120 2.52%1,808,332 1,787,375 1,834,994 2,110,486 2,228,090
UTI Dividend Yield Fund -Direct (G)46.3727,763 2.52%28,911 30,432 30,392 31,688 29,700
UTI Equity Tax Saving (G)590.7063,154 0.45%61,218 - - - -
UTI Equity Tax Saving - Direct (G)13.681,463 0.45%1,173 - - - -
UTI India Lifestyle Fund -Direct(G)1.53469 1.29%613 669 654 569 504
UTI India Lifestyle Fund(G)304.2293,239 1.29%94,539 93,928 106,529 125,361 127,619
UTI Leadership Equity - Direct (G)2.781,116 1.69%1,234 913 369 - -
UTI Leadership Equity Fund (G)1,635.92656,856 1.69%684,580 547,597 301,125 - -
UTI Long Term Advantage (G)221.0744,645 0.85%44,429 46,343 46,343 46,343 46,343
UTI Long Term Advantage S2 (G)133.4527,901 0.88%27,824 29,227 29,227 29,227 29,227
UTI Master Equity Plan (US)1,645.58649,005 1.66%625,000 425,000 - 425,000 500,000
UTI Mid Cap (G)2,798.06791,088 1.19%748,983 658,040 - - -
UTI Mid Cap - Direct (G)104.0529,418 1.19%28,573 24,626 - - -
UTI Multi Cap Fund - DP (G)3.24208 0.27%217 - - - -
UTI Multi Cap Fund - RP (G)368.0823,612 0.27%24,033 - - - -
UTI SPrEAD Fund (G)68.59163 0.01%- 12,290 11,714 - -
UTI SPrEAD Fund - Direct (G)23.4756 0.01%- 3,745 1,800 - -
UTI Wealth Builder Sr-2 RP (G)452.41136,508 1.27%139,300 181,975 181,243 173,608 178,311
UTI Wealth Builder Sr-2- Direct (G)5.321,605 1.27%1,654 2,023 1,650 1,262 1,212
UTI-Focussed Equity - Sr I-DP (G)34.0328,540 3.53%27,531 26,543 5,504 - -
UTI-Focussed Equity - Sr I-RP (G)803.12673,560 3.53%652,387 631,306 131,128 - -
Total 28,364,105 28,275,260 25,020,369 18,538,330 15,215,393 11,003,006
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 Jun '15, it displays data for 40 out of the total 43 AMCs.
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