Moneycontrol
Get App
SENSEX NIFTY

Aarti Industries

BSE: 524208|NSE: AARTIIND|ISIN: INE769A01020|SECTOR: Chemicals
SET ALERT
|
ADD TO PORTFOLIO
|
WATCHLIST
LIVE
BSE
Feb 14, 16:00
1012.25
40.7 (4.19%)
VOLUME 49,814
LIVE
NSE
Feb 14, 15:57
1012.80
41.85 (4.31%)
VOLUME 467,116
Stocks attracting Fund Managers
Check out MF Action in another Stock:
SCHEME NAME Dec '19 Sep '19 Jun '19 Mar '19 Dec '18 Sep '18
 
AUM
(Rs. cr.)
No. of
share
%
No. of share No. of share No. of share No. of share No. of share
Axis CBF Sr.1 - DP (G)-- -120 62 60 - -
Axis CBF Sr.1 - RP (G)-- -67,162 34,629 33,944 - -
Axis Children's Gift - Lock In - DP (G)2.74310 0.94%278 126 117 - -
Axis Children's Gift - Lock In - RP (G)337.8838,231 0.94%37,163 18,601 18,776 - -
Axis Children's Gift - No Lock In-DP (G)4.09463 0.94%462 237 245 - -
Axis Children's Gift - No Lock In-RP (G)106.3612,035 0.94%12,135 6,277 6,502 - -
Axis Equity Saver Fund - Direct (G)29.592,244 0.63%2,249 1,206 1,224 - -
Axis Equity Saver Fund - Regular (G)771.8358,532 0.63%57,675 29,501 29,015 - -
Axis Mid Cap Fund (G)2,793.62316,100 0.94%258,472 103,182 - - -
Axis Mid Cap Fund - Direct (G)875.9199,110 0.94%66,568 24,982 - - -
Axis Small Cap Fund (G)971.38397,528 3.41%291,816 23,576 25,860 - 52,629
Axis Small Cap Fund - Direct (G)305.29124,937 3.41%73,362 5,309 2,982 - 1,099
Axis Triple Advantage - Direct (G)9.931,159 0.97%1,141 608 608 - -
Axis Triple Advantage Fund (G)268.0931,303 0.97%31,657 16,232 16,787 - -
Baroda Pioneer Growth (G)-- -196,004 92,120 87,547 51,683 -
Baroda Pioneer Growth -Direct (G)-- -196,004 1,865 1,846 1,125 -
Baroda Pioneer Mid-cap Fund (G)-- -18,097 9,301 8,951 7,475 -
Baroda Pioneer Mid-cap Fund -Direct (G)-- -1,421 732 694 586 -
BOI AXA M & I Fund (G)-- -6,619 7,387 7,953 8,474 9,185
BOI AXA M & I Fund - Direct (G)-- -1,115 1,212 1,343 1,401 1,618
BOI AXA Tax Advantage - Direct (G)-- -3,712 1,975 389 4,426 5,043
BOI AXA Tax Advtg -Eco (G)-- -124 69 179 201 260
BOI AXA Tax Advtg -RP (G)-- -25,177 13,466 31,208 31,069 35,810
CR Equity Tax Saver Fund (G)-- -205,091 104,411 68,548 - -
CR Equity Tax Saver Fund - D (G)-- -16,666 8,155 4,993 - -
DSP Equity Opportunities - Direct (G)-- -62,351 39,431 51,226 - -
DSP Equity Opportunities - Reg (G)-- -377,916 224,171 313,951 - -
DSP Mid Cap - Direct (G)-- -82,638 43,579 945 36,722 40,914
DSP Mid Cap - Regular (G)-- -517,610 267,213 761 258,756 299,570
DSP Small Cap Fund - Direct (G)-- -168,804 127,119 160,762 191,710 239,196
DSP Small Cap Fund - Regular (G)-- -869,776 675,487 875,048 1,061,944 1,336,033
Edelweiss BAF - (G)-- -172,493 83,699 81,504 47,547 -
Edelweiss BAF - Dir. (G)-- -3,611 1,953 2,081 1,257 -
Edelweiss Equity Savings (G)-- -6,534 3,441 1,905 - -
Edelweiss Equity Savings (MD)-- -6,534 3,441 1,905 - -
Edelweiss Equity Savings - D (G)-- -1,326 671 399 - -
Edelweiss Large & Mid Cap (G)-- -48,756 41,949 40,964 10,096 -
Edelweiss Large & Mid Cap - D (G)-- -2,624 2,310 2,412 618 -
Edelweiss Large Cap - A (G)-- -11,894 10,236 5,105 - -
Edelweiss Large Cap - B (G)-- -78 - - - -
Edelweiss Large Cap - C (G)-- -35 - - - -
Edelweiss Large Cap - Direct (G)-- -2,034 1,656 548 - -
Edelweiss LT Equity Fund (G)-- -11,470 10,941 9,053 4,824 -
Edelweiss LT Equity Fund - Direct (G)-- -365 346 318 167 -
Edelweiss Mid Cap Fund (G)-- -141,194 104,288 111,144 73,587 58,742
Edelweiss Mid Cap Fund - D (G)-- -10,591 7,614 7,883 5,163 4,465
Franklin (I) Prima - Direct (G)1,382.30234,612 1.41%163,145 78,498 70,416 - -
Franklin India Prima Fund (G)6,029.131,023,301 1.41%792,484 408,410 392,467 - -
HDFC Hybrid Equity Fund (G)10,000.003,716,678 1.81%3,817,277 1,938,383 1,856,645 1,898,128 1,998,930
HDFC Hybrid Equity Fund - D (G)3,729.32812,527 1.81%801,586 387,785 358,573 359,579 383,945
HDFC MidCap Opport.- Direct (G)3,485.801,447,609 3.45%1,410,917 678,327 603,651 545,956 590,339
HDFC MidCap Opportunities (G)10,000.007,810,688 3.45%7,834,421 3,960,915 3,707,421 3,405,563 3,909,799
HDFC Multi-Asset Fund (G)176.5234,422 1.62%33,745 16,708 16,882 17,427 -
HDFC Multi-Asset Fund - D (G)17.133,340 1.62%3,858 2,236 2,250 2,335 -
HSBC Large & Midcap Fund - Direct (G)-- -- 903 - - -
HSBC Large & Midcap Fund - Regular (G)-- -- 48,202 - - -
HSBC Multi Cap Eq. (G)-- -- 30,044 39,157 - -
HSBC Multi Cap Eq. - Direct (G)-- -- 998 1,163 - -
HSBC Small Cap Equity Fund (G)-- -- 86,898 79,793 91,624 -
HSBC Small Cap Equity Fund - Direct (G)-- -- 15,040 14,374 17,348 -
IDBI Hybrid Equity Fund - DP (G)-- -- 1,519 1,447 1,780 1,898
IDBI Hybrid Equity Fund - RP (G)-- -- 62,462 59,578 75,618 83,302
IDFC Large Cap Fund (G)-- -- - - 12,536 -
IDFC Large Cap Fund - D (G)-- -- - - 788 -
L&T Midcap Fund (G)-- -- 362,236 289,705 310,437 268,747
L&T Midcap Fund -Direct (G)-- -- 96,443 75,031 68,746 51,413
L&T Emerging Businesses Fund-DP (G)-- -- - - 138,822 153,774
L&T Emerging Businesses Fund-RP (G)-- -- - - 451,805 512,489
L&T India Value Fund (G)-- -- 530,886 508,880 520,715 561,459
L&T India Value Fund -Direct (G)-- -- 75,309 68,767 67,995 72,427
L&T Tax Advantage (G)-- -- 49,296 172,507 247,418 258,023
L&T Tax Advantage -Direct (G)-- -- 3,239 10,349 13,255 12,836
Mahindra MF DSESY - DP (G)-- -233 90 80 - -
Mahindra MF DSESY - RP (G)-- -23,303 9,379 9,198 - -
Nippon Growth Fund - RP (G)-- -- 146,035 - - -
Nippon Growth Fund -Direct (G)-- -- 11,982 - - -
PGIM India Hybrid Equity (G)-- -- 7,126 7,731 - -
PGIM India Hybrid Equity - D (G)-- -- 404 427 - -
PGIM India Hybrid Equity - WP (G)-- -- 2 3 - -
PGIM India Large Cap Fund-DP (G)-- -- 1,514 2,491 - -
PGIM India Large Cap Fund-RP (G)-- -- 26,136 35,113 - -
PGIM India LTEF-(G)-- -- 12,437 11,943 210 248
PGIM India LTEF-DP. (G)-- -- 92 83 1 2
PGIM India Tax Plan (G)-- -- 1,267 1,248 23 33
PGIM India Tax Plan-DP (G)-- -- 33 31 1 1
Principal Dividend Yield (G)-- -- 15,209 21,519 21,610 20,029
Principal Dividend Yield-Direct (G)-- -- 191 244 224 215
Quant Large & Mid Cap (G)-- -- 40 - - -
Quant Large & Mid Cap -Direct (G)-- -- 53 - - -
Quant Mid Cap Fund (G)-- -- 2,701 1,596 3,868 -
Quant Mid Cap Fund - Direct (G)-- -- 21 11 39 -
Sundaram Debt Oriented Hybrid - D (G)-- -- 41 - - -
Sundaram Debt Oriented Hybrid Fund (G)-- -- 1,454 - - -
Sundaram Equity Hybrid Fund (G)-- -- 198,684 196,217 65,404 103,535
Sundaram Equity Hybrid Fund - D (G)-- -- 5,616 5,266 1,707 2,351
Sundaram Mid Cap Fund (G)-- -- 421,834 391,172 - -
Sundaram Mid Cap Fund - D (G)-- -- 39,340 40,134 - -
Sundaram Mid Cap Fund -IP (D)-- -- 6 7 - -
Sundaram Select Focus - IP (G)-- -- 2 2 - -
Sundaram Select Focus - RP (G)-- -- 104,068 100,290 - -
Sundaram Select Focus -Direct (G)-- -- 4,926 4,541 - -
Tata Resources & Energy Fund - Dir (G)-- -680 355 - - -
Tata Resources & Energy Fund - RP (G)-- -3,717 1,966 - - -
Total 16,165,129 18,954,290 12,002,507 11,176,088 10,139,793 11,070,359
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 Dec '19, it displays data for 7 out of the total 45 AMCs.
Quick Links for Aarti Industries
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.