SENSEX NIFTY
Tata Chemicals
BSE: 500770|NSE: TATACHEM|ISIN: INE092A01019|SECTOR: Chemicals
SET ALERT
|
ADD TO PORTFOLIO
|
WATCHLIST
LIVE
BSE
Aug 01, 16:00
346.30
-0.95 (-0.27%)
VOLUME 86,132
LIVE
NSE
Aug 01, 13:46
348.10
0.9 (0.26%)
VOLUME 278,933
Stocks attracting Fund Managers
Check out MF Action in another Stock:
SCHEME NAME Jun '14 Mar '14 Dec '13 Sep '13 Jun '13 Mar '13
 
AUM
(Rs. cr.)
No. of
share
%
No. of share No. of share No. of share No. of share No. of share
Axis Equity Fund (G)796.78335,999 1.45%- - - - -
Axis Equity Fund - Direct (G)15.236,422 1.45%- - - - -
Axis Mid Cap Fund (G)337.30212,866 2.17%- - - - -
Axis Mid Cap Fund - Direct (G)4.472,821 2.17%- - - - -
Birla SL Emer. Leaders-Sr 1-DP (G)1.221,362 3.84%- - - - -
Birla SL Emer. Leaders-Sr 1-RP (G)106.82119,293 3.84%- - - - -
Birla SL Enhanced Arbit.-Direct (G)-- -- 58 - - -
Birla SL Enhanced Arbitrage-RP (G)-- -- 27,781 - - -
Birla SL Equity Fund -Direct (G)8.913,550 1.37%- - - - -
Birla SL Midcap Fund -Direct (G)-- -- - - - 327,114
Birla Sun Life Equity Fund (G)785.91313,130 1.37%- - - - -
Birla Sun Life Midcap Fund (G)-- -- - - - 327,114
BNP Paribas Dividend Yield (G)-- -- - - 11,390 10,951
BNP Paribas Dividend Yield -Dir (G)-- -- - - 164 10,951
BNP Paribas Mid Cap Fund (G)-- -26,592 32,101 19,519 18,849 20,433
BNP Paribas Mid Cap Fund -Dir (G)-- -90 78 162 276 20,433
DSP-BR Balanced Fund (G)-- -- - - - 285,397
DSP-BR Balanced Fund -Direct (G)-- -- - - - 285,397
DSP-BR Equity Fund - Direct (G)-- -- - - - 1,658,528
DSP-BR Equity Fund - Inst-- -- - - - 89,402
DSP-BR Equity Fund - RP (G)-- -- - - - 1,658,528
DSP-BR Small & Mid Cap -Direct (G)-- -- - 1,714 - 956,135
DSP-BR Small & Mid Cap -RP (G)-- -- - 216,360 - 956,135
Edelweiss ELSS Fund (G)-- -- - - - 3,577
Edelweiss ELSS Fund - Direct (G)-- -- - - - 3,577
Edelweiss Select Midcap -Direct (G)-- -- - - - 1,392
Edelweiss Select Midcap Fund (G)-- -- - - - 1,392
Escorts High Yield Eqty -Direct (G)0.00- 4.83%- - - - 4,000
Escorts High Yield Equity (G)2.573,610 4.83%- 4,240 4,427 4,337 4,000
Franklin (I) Eqty Inc. -Direct (G)13.7642,579 10.64%40,935 35,281 28,227 16,481 2,732,129
Franklin (I) Equity Income (G)931.922,883,708 10.64%3,130,515 3,108,847 3,226,072 2,775,247 2,732,129
Franklin (I) Growth - Direct (G)14.2354,255 13.11%50,772 51,102 48,018 42,194 2,252,987
Franklin (I) Growth Fund (G)478.121,822,932 13.11%1,939,542 2,254,841 2,316,681 2,396,159 2,252,987
GS CNX 500 Fund (G)58.202,708 0.16%3,141 3,574 3,897 4,299 4,412
GS CNX 500 Fund - Direct (G)2.50116 0.16%106 93 80 58 4,412
GS Junior BeES81.0331,680 1.34%29,255 28,004 38,560 41,315 44,734
HDFC Balanced Fund (G)-- -- - - - 180,000
HDFC Balanced Fund - Direct (G)-- -- - - - 180,000
HDFC Growth Fund (G)-- -- - - 356,545 339,651
HDFC Growth Fund - Direct (G)-- -- - - 2,364 339,651
HDFC MidCap Opport.- Direct (G)-- -- - - 11,793 881,000
HDFC MidCap Opportunities (G)-- -- - - 885,334 881,000
HDFC Multiple Yield - Direct (G)-- -- 206 155 88 10,000
HDFC Multiple Yield Fund (G)-- -- 9,811 10,799 10,402 10,000
HDFC RGESS -Sr 1-Feb-13 (G)-- -- - 29,739 30,266 30,000
HDFC RGESS -Sr 1-Feb-13- Direct (G)-- -- - 444 452 30,000
HDFC Tax Saver (G)-- -- - 296,429 510,170 995,871
HDFC Tax Saver - Direct (G)-- -- - 2,762 3,676 995,871
ICICI Pru Dividend Yield - DP (G)3.983,488 3.01%- - - - -
ICICI Pru Dividend Yield - RP (G)148.55130,148 3.01%- - - - -
ICICI Pru Dynamic Plan (G)4,151.70684,606 0.57%- - - - -
ICICI Pru Dynamic Plan - Direct (G)97.5116,080 0.57%- - - - -
ICICI Pru Dynamic Plan - Inst.2.75453 0.57%- - - - -
ICICI Pru Dynamic Plan - IP (G)1.89312 0.57%- - - - -
ICICI Pru Nifty Junior - Direct (G)4.691,555 1.14%324 135 141 241 3,510
ICICI Pru Nifty Junior Index (G)14.564,823 1.14%2,552 2,330 2,643 2,495 3,510
ICICI Pru Tax Plan (G)1,840.91527,190 0.98%- - - - -
ICICI Pru Tax Plan- Direct (G)33.189,501 0.98%- - - - -
ICICI Pru Top 100 Fund (G)639.56151,720 0.82%- - - - -
ICICI Pru Top 100 Fund - Direct (G)28.196,688 0.82%- - - - -
ICICI Pru Top 100 Fund -Inst -I1.81429 0.82%- - - - -
IDBI India Top 100 Eqty -Direct (G)2.33257 0.38%- - - - -
IDBI India Top 100 Equity Fund (G)76.928,501 0.38%- - - - -
IDBI Nifty Junior Index -Direct (G)0.62245 1.36%185 - 147 310 21,399
IDBI Nifty Junior Index Fund (G)26.3310,414 1.36%11,712 - 14,660 18,894 21,399
IDBI RGESS Fund -Sr I-Plan A-DP (G)-- -- - 328 334 -
IDBI RGESS Fund -Sr I-Plan A-RP (G)-- -- - 14,729 14,733 -
IDFC Arbitrage - Inst (G)22.224,394 0.68%1,996 - - - -
IDFC Arbitrage Fund (G)883.77174,775 0.68%61,772 - - - -
IDFC Arbitrage Fund - Direct (G)427.1184,466 0.68%28,522 - - - -
IDFC Arbitrage Plus-A (G)34.7031,183 3.09%13,279 - - - -
IDFC Arbitrage Plus-B (G)0.1090 3.09%46 - - - -
IDFC Equity Opport. -Sr 2- Dir (DP)32.6324,009 2.53%- - - - -
IDFC Equity Opport. -Sr 2- Reg (DP)324.85239,020 2.53%- - - - -
IDFC Premier Equity - A (G)4,049.481,495,664 1.27%1,648,338 - 1,837,554 - 1,996,207
IDFC Premier Equity - B (G)46.8317,297 1.27%21,376 - 24,915 - 29,596
IDFC Premier Equity - Direct (G)214.8579,354 1.27%67,016 - 40,515 - 1,996,207
ING Midcap Fund (G)-- -- - - 6,950 8,085
ING Midcap Fund -Direct (G)-- -- - - 208 8,085
JM Arbitrage Advantage (G)134.56306,023 7.82%- - - - -
JM Arbitrage Advantage -Direct (G)65.11148,076 7.82%- - - - -
Kotak 50 (G)610.98142,150 0.80%- - - - -
Kotak 50 - Direct (G)5.561,294 0.80%- - - - -
Kotak Balance148.5631,000 0.65%- - - - -
Kotak Balance - Direct1.0731,000 0.65%- - - - -
Kotak Classic Equity (G)100.3228,592 0.98%- - - - -
Kotak Classic Equity - Direct (G)0.87248 0.98%- - - - -
Kotak Equity Arbitrage (G)797.13461,332 1.99%209,548 26,433 5,284 - -
Kotak Equity Arbitrage -Direct (G)294.28170,312 1.99%71,591 10,547 1,517 - -
Kotak Mid-Cap Fund (G)243.6565,899 0.93%- - - - -
Kotak Mid-Cap Fund - Direct (G)2.01544 0.93%- - - - -
Kotak MIP - Direct (G)3.05151 0.17%- - - - -
Kotak Monthly Income Plan (G)114.875,679 0.17%- - - - -
L&T Midcap Fund (G)-- -- - - - 15,418
L&T Midcap Fund -Direct (G)-- -- - - - 15,418
L&T MIP - Wealth Builder Fund (G)-- -- - - - 8,000
L&T MIP Wealth Builder -Direct (G)-- -- - - - 8,000
LIC NOMURA Unit Linked Insurance-- -- - - 64 -
LIC NOMURA Unit Linked Insurance-- -- - - 42,000 41,829
Mirae (I) Opportunities -Direct (G)20.855,882 0.97%3,678 2,525 535 281 94,000
Mirae (I) Opportunities-RP (G)462.05130,344 0.97%93,219 105,425 105,965 94,611 94,000
Mirae Emerging Bluechip -Direct (G)14.065,561 1.36%1,639 934 739 562 89,000
Mirae Emerging Bluechip Fund (G)283.45112,111 1.36%92,002 103,195 103,773 93,182 89,000
Motilal MOSt Shares Midcap 100 ETF300.0498,720 1.13%- - - - -
Principal Dividend Yield (G)-- -- 20,523 33,071 52,298 56,700
Principal Dividend Yield-Direct (G)-- -- 33 49 58 56,700
Principal Emer-Bluechip -Direct (G)-- -- - 450 333 135,000
Principal Emerging Bluechip(G)-- -- - 94,814 125,447 135,000
Principal Index Fund-Midcap-DP (G)9.903,253 1.13%- - - - -
Principal Index Fund-Midcap-RP (G)3.201,052 1.13%- - - - -
Quantum Long-Term Equity (G) 311.56296,512 3.27%273,139 273,139 227,828 174,664 154,172
Quantum Tax Saving Fund (G)22.8526,306 3.96%19,797 19,797 16,243 12,228 9,943
R*shares CNX 100 ETF6.78393 0.20%434 435 - - -
Reliance Arbitrage Adv.- Direct (G)124.29124,706 3.45%- - - - -
Reliance Arbitrage Advantage (G)104.93105,281 3.45%- - - - -
Reliance NRI Equity - Direct (G)1.261,055 2.88%- - - - -
Reliance NRI Equity Fund (G)82.6669,234 2.88%- - - - -
Religare Invesco Arbitrage -Dir (G)173.0555,863 1.11%749 - 1,692 - -
Religare Invesco Arbitrage Fund (G)297.5296,044 1.11%2,436 - 9,519 - -
Sahara Midcap Fund (G)3.751,876 1.72%6,171 6,478 - 7,351 6,001
Sahara Midcap Fund - Direct (G)5.482,741 1.72%73 70 - 52 6,001
Sahara Star Value Fund (G)-- -1,301 702 - - -
Sahara Star Value Fund -Direct (G)-- -37 21 - - -
Sahara Taxgain (G)-- -- - - 7,585 7,474
Sahara Taxgain - Direct (G)-- -- - - 124 7,474
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 Magnum Comma Fund (G)-- -- - - 164,632 -
SBI Magnum Comma Fund - Direct (G)-- -- - - 262 -
Tata Dividend Yield - Direct (G)-- -- - - 457 205,052
Tata Dividend Yield Fund (G)-- -- - - 66,560 205,052
Tata Equity P/E Fund (G)-- -- - - - 350,854
Tata Equity P/E Fund - Direct (G)-- -- - - - 350,854
Tata Retirement Sav. - Moderate-- -- - - - 1,225
Tata Retirement Sav. - Progresive-- -- - - - 13,360
Tata RSF - Moderate - Direct-- -- - - - 1,225
Tata RSF - Progresive - Direct-- -- - - - 13,360
Tata Young Citizens Fund -- -- - - - 16,000
Tata Young Citizens Fund - Direct -- -- - - - 16,000
Taurus Bonanza Fund (G)22.686,200 0.94%- - - - -
Taurus Bonanza Fund -Direct (G)0.013 0.94%- - - - -
Taurus Discovery Fund (G)24.4116,825 2.37%- - - - -
Taurus Discovery Fund -Direct (G)0.1283 2.37%- - - - -
Taurus MIP Advantage -Direct (G)0.0821 0.91%- - - - -
Taurus MIP Advantage Fund (G)20.945,542 0.91%- - - - -
Taurus Star Share (G)171.68105,350 2.11%- - - - -
Taurus Star Share - Direct (G)0.0955 2.11%- - - - -
UTI Balanced Fund (G)-- -- - 208,118 369,691 360,679
UTI Balanced Fund - Direct (G)-- -- - 206 223 360,679
UTI CRTS 81 - Direct (G)-- -- - - 161 45,000
UTI CRTS 81(G)-- -- - - 46,487 45,000
UTI Dividend Yield Fund (G)2,998.722,110,486 2.42%2,228,090 2,301,266 2,347,698 2,451,477 2,340,000
UTI Dividend Yield Fund -Direct (G)45.0231,688 2.42%29,700 26,521 22,563 11,924 2,340,000
UTI India Lifestyle Fund -Direct(G)1.38569 1.42%504 441 363 286 166,456
UTI India Lifestyle Fund(G)303.56125,361 1.42%127,619 133,192 134,566 134,471 166,456
UTI Long Term Advantage (G)221.7046,343 0.72%46,343 46,343 46,343 46,343 46,343
UTI Long Term Advantage S2 (G)134.9229,227 0.74%29,227 29,227 90,000 90,000 90,000
UTI Master Equity Plan (US)1,539.95425,000 0.95%500,000 500,000 500,000 700,000 700,000
UTI Mastershare (G)-- -- - - 681,828 810,000
UTI Mastershare - Direct (G)-- -- - - 1,372 810,000
UTI Wealth Builder Sr-2 RP (G)493.35173,608 1.21%178,311 185,458 179,862 187,767 269,901
UTI Wealth Builder Sr-2- Direct (G)3.591,262 1.21%1,212 1,130 928 727 269,901
Total 15,150,550 11,001,635 9,352,317 12,311,803 12,731,532 36,631,815
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 '14, it displays data for 43 out of the total 45 AMCs.
Quick Links for Tata Chemicals
Explore Moneycontrol
Stocks     A | B | C | D | E | F | G | H | I | J | K | L | M | N | O | P | Q | R | S | T | U | V | W | X | Y | Z | Others
Mutual Funds     A | B | C | D | E | F | G | H | I | J | K | L | M | N | O | P | Q | R | S | T | U | V | W | X | Y | Z
Copyright © e-Eighteen.com Ltd. All rights reserved. Reproduction of news articles, photos, videos or any other content in whole or in part in any form or medium without express written permission of moneycontrol.com is prohibited.