Coromandel International Ltd.

BSE: 506395 | NSE: COROMANDEL |

Represents Equity.Intra - day transactions are permissible and normal trading is done in this category
Series: EQ | ISIN: INE169A01031 | SECTOR: Fertilisers

BSE Live

Nov 26, 15:41
751.55 -3.95 (-0.52%)
Volume
AVERAGE VOLUME
5-Day
14,295
10-Day
12,760
30-Day
24,292
11,039
  • Prev. Close

    755.50

  • Open Price

    757.00

  • Bid Price (Qty.)

    747.00 (1)

  • Offer Price (Qty.)

    753.70 (5)

NSE Live

Nov 26, 15:56
751.95 -4.90 (-0.65%)
Volume
AVERAGE VOLUME
5-Day
417,303
10-Day
421,527
30-Day
458,380
449,958
  • Prev. Close

    756.85

  • Open Price

    754.70

  • Bid Price (Qty.)

    0.00 (0)

  • Offer Price (Qty.)

    751.95 (42)

Mutual Funds Holding

Stocks attracting Fund Managers
Coromandel International traded by Mutual Fund Schemes
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Scheme Name Sep '21 Jun '21 Mar '21 Dec '20 Sep '20 Jun '20
  AUM
(Rs. cr.)
No. of share % No. of share No. of share No. of share No. of share No. of share
ABSL Arbitrage Fund (G) 2,841.46 42,920 0.12% 28,935 - - - -
ABSL Arbitrage Fund - D (G) 5,895.12 89,045 0.12% 61,717 - - - -
ABSL Midcap Fund (G) 2,881.26 1,008,232 2.78% 987,132 1,165,902 1,116,754 1,223,393 1,155,555
ABSL Midcap Fund -Direct (G) 312.39 109,314 2.78% 104,762 125,379 120,875 128,123 121,090
ABSL Small Cap Fund (G) 2,487.55 441,494 1.41% 80,312 84,933 515,389 563,504 600,540
ABSL Small Cap Fund - D (G) 487.76 86,568 1.41% 417,873 438,219 102,569 114,140 126,589
Axis CBF Sr.1 - DP (G) - - - - 127 117 123 120
Axis CBF Sr.1 - RP (G) - - - - 70,114 64,756 68,350 66,465
Axis DEF - DP (G) - - - - 6,892 6,719 - -
Axis DEF - RP (G) - - - - 161,579 172,824 - -
Axis Equity Saver Fund - Direct (G) - - - - 2,644 2,434 - -
Axis Equity Saver Fund - Regular (G) - - - - 71,201 71,756 - -
Axis Mid Cap Fund (G) 9,794.12 1,527,925 1.24% 1,371,563 1,410,660 1,248,730 816,381 135,196
Axis Mid Cap Fund - Direct (G) 4,482.95 699,359 1.24% 626,057 620,312 519,295 320,860 52,636
DSP Arbitrage Fund - Direct (G) 1,231.28 1,550 0.01% - - - - -
DSP Arbitrage Fund - Regular (G) 526.36 663 0.01% - - - - -
DSP Dynamic Asset Allocation - DP (G) - - - 14,759 13,943 12,489 13,071 32,068
DSP Dynamic Asset Allocation - RP (G) - - - 147,540 143,329 136,662 148,941 439,869
DSP Equity & Bond Fund - Direct (G) - - - 48,620 48,008 50,387 79,576 150,129
DSP Equity & Bond Fund - Regular (G) - - - 715,927 748,851 892,384 973,060 1,596,023
DSP Equity Opportunities - Direct (G) 1,153.24 155,323 1.07% 141,716 146,466 179,704 218,488 239,656
DSP Equity Opportunities - Reg (G) 5,680.21 765,036 1.07% 737,250 791,517 991,262 1,258,928 1,406,579
DSP Equity Savings Fund - Direct (G) 39.62 10,024 2.01% 8,869 9,177 - - -
DSP Equity Savings Fund - Regular (G) 343.97 87,026 2.01% 88,075 92,345 - - -
DSP Flexi Cap Fund - DP - (G) - - - 106,026 111,193 - 115,489 166,952
DSP Flexi Cap Fund - RP - (G) - - - 600,321 631,053 - 798,290 1,183,949
DSP Focus Fund - Direct (G) 405.09 209,463 4.11% 237,921 277,192 333,718 263,086 232,244
DSP Focus Fund - Regular(G) 1,766.00 913,161 4.11% 1,058,148 1,123,586 1,304,303 1,433,885 1,261,208
DSP Mid Cap - Direct (G) 2,484.16 794,231 2.54% 721,306 736,245 671,274 553,754 536,039
DSP Mid Cap - Regular (G) 10,000.00 3,548,592 2.54% 3,281,584 3,389,396 3,264,633 2,905,304 2,861,127
DSP Regular Savings Fund - Direct (G) 15.91 1,322 0.66% 970 1,106 - - -
DSP Regular Savings Fund - Regular (G) 199.05 16,536 0.66% 18,007 18,524 - - -
DSP Tax Saver Fund - Direct (G) 1,831.54 207,488 0.90% 128,709 126,492 120,493 128,068 89,790
DSP Tax Saver Fund - Regular (G) 7,620.46 863,291 0.90% 557,768 573,508 574,345 631,458 454,510
DSP Top 100 Equity Fund - Direct (G) 279.46 66,802 1.90% 67,366 70,350 59,261 47,447 -
DSP Top 100 Equity Fund - Regular (G) 2,621.61 626,667 1.90% 614,846 644,030 504,511 425,138 -
HDFC Arbitrage Fund - Direct (G) 1.10 7 0.05% 1 - - - -
HDFC Arbitrage Fund - RP (G) 4.73 30 0.05% 5 - - - -
HDFC Arbitrage Fund - WP (G) 1,863.21 11,726 0.05% 1,584 - - - -
HDFC Arbitrage Fund - WP - DP (G) 6,110.49 38,457 0.05% 5,504 - - - -
ICICI Pru Eqty-Arbitrage-Direct (G) 9,633.09 60,627 0.05% - - - - -
ICICI Pru Equity-Arbitrage- RP (G) 5,181.38 32,610 0.05% - - - - -
Kotak Balanced Advantage - Dir. (G) 705.79 35,536 0.40% 28,111 23,557 - 15,440 19,338
Kotak Balanced Advantage - Reg. (G) 9,647.74 485,757 0.40% 422,978 375,617 - 309,304 438,587
Kotak Bluechip Fund (G) 2,328.60 243,280 0.83% 223,183 187,074 - 175,333 180,715
Kotak Bluechip Fund - D (G) 769.23 80,365 0.83% 67,128 47,593 - 39,417 42,184
Kotak Emerging Equity (G) 10,000.00 4,824,790 3.11% 3,969,037 3,712,062 - 3,088,409 2,923,415
Kotak Emerging Equity - D (G) 3,036.54 1,188,103 3.11% 961,727 877,461 - 710,687 674,350
Kotak Equity Arbitrage - Direct (G) 10,000.00 412,061 0.23% 62,432 - - - -
Kotak Equity Arbitrage - Regular (G) 10,000.00 305,638 0.23% 47,250 - - - -
Kotak Equity Hybrid (G) 1,815.69 171,410 0.75% 137,587 117,362 - 105,565 138,620
Kotak Equity Hybrid - D (G) 107.26 10,126 0.75% 7,022 5,446 - 4,144 5,073
Kotak Equity Opportunities (G) 6,440.15 1,969,861 2.43% 1,774,444 1,538,052 - 1,557,566 1,458,318
Kotak Equity Opportunities - D (G) 1,087.76 332,715 2.43% 280,963 219,202 - 185,280 163,704
Kotak India EQ Contra Fund (G) 935.38 85,906 0.73% 85,801 90,731 - 93,007 97,633
Kotak India EQ Contra Fund - D (G) 172.69 15,860 0.73% 15,596 15,882 - 15,475 15,288
Kotak India Growth Fund-Sr V-Dir. (G) - - - - 3,377 - 2,974 2,934
Kotak India Growth Fund-Sr V-Reg. (G) - - - - 103,167 - 90,955 89,751
Kotak India Growth Fund-Sr VII-Dir. (G) - - - 809 839 - 844 900
Kotak India Growth Fund-Sr VII-Reg. (G) - - - 9,835 10,230 - 10,325 11,058
Kotak Small Cap Fund (G) 4,145.67 318,316 0.61% 283,780 271,133 - 130,322 172,037
Kotak Small Cap Fund - D (G) 1,317.98 101,198 0.61% 83,022 65,086 - 23,807 33,651
Kotak Tax Saver - Direct (G) 224.47 53,684 1.90% 47,249 33,663 - 33,420 30,354
Kotak Tax Saver - Regular (G) 1,968.33 470,744 1.90% 429,392 330,208 - 358,670 334,007
L&T Midcap Fund (G) - - - - 1,409,057 1,397,999 - -
L&T Midcap Fund -Direct (G) - - - - 385,857 384,698 - -
L&T Business Cycles - Direct (G) - - - - 3,473 4,118 5,066 -
L&T Business Cycles - Regular (G) - - - - 71,114 84,498 108,793 -
L&T Equity Savings Fund (G) - - - - - 6,068 12,270 -
L&T Equity Savings Fund - Direct (G) - - - - - 340 601 -
L&T Flexicap Fund - DP - (G) - - - - - 1,143 1,306 -
L&T Flexicap Fund - RP - (G) - - - - - 17,011 19,918 -
L&T India Hybrid Equity Fund (G) - - - - - - 330,262 -
L&T India Hybrid Equity Fund - D (G) - - - - - - 26,390 -
L&T India Value Fund (G) - - - - 1,051,636 1,353,587 1,792,796 -
L&T India Value Fund -Direct (G) - - - - 241,562 285,495 359,541 -
L&T Large and Midcap (G) - - - - - - 353,404 -
L&T Large and Midcap Fund - D (G) - - - - - - 27,746 -
Motilal MOSt Oswal Midcap 100 ETF 80.34 7,084 0.70% - 6,703 - 6,568 6,400
Motilal Oswal Dynamic Fund - (G) - - - - 162,513 - - -
Motilal Oswal Dynamic Fund - D (G) - - - - 16,043 - - -
Motilal Oswal Flexi Cap Fund-DP-(G) - - - - 1,332,978 - 911,373 -
Motilal Oswal Flexi Cap Fund-RP-(G) - - - - 1,690,035 - 1,334,138 -
Motilal Oswal Midcap 30 - (G) - - - - - - 455,800 679,748
Motilal Oswal Midcap 30 - D (G) - - - - - - 450,049 676,012
Nippon Growth Fund - RP (G) 10,000.00 167,889 0.13% - - - - 506,992
Nippon Growth Fund -Direct (G) 889.69 14,558 0.13% - - - - 43,409
Nippon Quant Fund - (G) - - - - - 3,684 - 4,001
Nippon Quant Fund - Direct (G) - - - - - 1,042 - 1,042
SBI Arbitrage Oppor. - Direct (G) - - - - - - - -
SBI Arbitrage Oppor. Fund (G) - - - - - - - -
SBI Magnum Midcap Fund (G) 5,014.81 1,603,325 2.54% 1,555,801 1,607,886 1,547,144 1,954,246 1,785,113
SBI Magnum Midcap Fund - Direct (G) 957.40 306,098 2.54% 286,719 280,252 288,077 364,987 334,881
Total - 25,619,793 - 23,761,039 30,141,124 18,412,548 28,695,055 23,777,849
Scheme Name Sep '21 Jun '21
  Asset (Rs. cr.) No. of share % No. of share
ABSL Arbitrage Fund (G) 2,841.46 42,920 0.12% 28,935
ABSL Arbitrage Fund - D (G) 5,895.12 89,045 0.12% 61,717
ABSL Midcap Fund (G) 2,881.26 1,008,232 2.78% 987,132
ABSL Midcap Fund -Direct (G) 312.39 109,314 2.78% 104,762
ABSL Small Cap Fund (G) 2,487.55 441,494 1.41% 80,312
Axis Mid Cap Fund (G) 9,794.12 1,527,925 1.24% 1,371,563
Axis Mid Cap Fund - Direct (G) 4,482.95 699,359 1.24% 626,057
DSP Arbitrage Fund - Direct (G) 1,231.28 1,550 0.01% -
DSP Arbitrage Fund - Regular (G) 526.36 663 0.01% -
DSP Equity Opportunities - Direct (G) 1,153.24 155,323 1.07% 141,716
DSP Equity Opportunities - Reg (G) 5,680.21 765,036 1.07% 737,250
DSP Equity Savings Fund - Direct (G) 39.62 10,024 2.01% 8,869
DSP Mid Cap - Direct (G) 2,484.16 794,231 2.54% 721,306
DSP Mid Cap - Regular (G) 10,000.00 3,548,592 2.54% 3,281,584
DSP Regular Savings Fund - Direct (G) 15.91 1,322 0.66% 970
DSP Tax Saver Fund - Direct (G) 1,831.54 207,488 0.90% 128,709
DSP Tax Saver Fund - Regular (G) 7,620.46 863,291 0.90% 557,768
DSP Top 100 Equity Fund - Regular (G) 2,621.61 626,667 1.90% 614,846
HDFC Arbitrage Fund - Direct (G) 1.10 7 0.05% 1
HDFC Arbitrage Fund - RP (G) 4.73 30 0.05% 5
HDFC Arbitrage Fund - WP (G) 1,863.21 11,726 0.05% 1,584
HDFC Arbitrage Fund - WP - DP (G) 6,110.49 38,457 0.05% 5,504
ICICI Pru Eqty-Arbitrage-Direct (G) 9,633.09 60,627 0.05% -
ICICI Pru Equity-Arbitrage- RP (G) 5,181.38 32,610 0.05% -
Kotak Balanced Advantage - Dir. (G) 705.79 35,536 0.40% 28,111
Kotak Balanced Advantage - Reg. (G) 9,647.74 485,757 0.40% 422,978
Kotak Bluechip Fund (G) 2,328.60 243,280 0.83% 223,183
Kotak Bluechip Fund - D (G) 769.23 80,365 0.83% 67,128
Kotak Emerging Equity (G) 10,000.00 4,824,790 3.11% 3,969,037
Kotak Emerging Equity - D (G) 3,036.54 1,188,103 3.11% 961,727
Kotak Equity Arbitrage - Direct (G) 10,000.00 412,061 0.23% 62,432
Kotak Equity Arbitrage - Regular (G) 10,000.00 305,638 0.23% 47,250
Kotak Equity Hybrid (G) 1,815.69 171,410 0.75% 137,587
Kotak Equity Hybrid - D (G) 107.26 10,126 0.75% 7,022
Kotak Equity Opportunities (G) 6,440.15 1,969,861 2.43% 1,774,444
Kotak Equity Opportunities - D (G) 1,087.76 332,715 2.43% 280,963
Kotak India EQ Contra Fund (G) 935.38 85,906 0.73% 85,801
Kotak India EQ Contra Fund - D (G) 172.69 15,860 0.73% 15,596
Kotak Small Cap Fund (G) 4,145.67 318,316 0.61% 283,780
Kotak Small Cap Fund - D (G) 1,317.98 101,198 0.61% 83,022
Kotak Tax Saver - Direct (G) 224.47 53,684 1.90% 47,249
Kotak Tax Saver - Regular (G) 1,968.33 470,744 1.90% 429,392
Motilal MOSt Oswal Midcap 100 ETF 80.34 7,084 0.70% -
Nippon Growth Fund - RP (G) 10,000.00 167,889 0.13% -
Nippon Growth Fund -Direct (G) 889.69 14,558 0.13% -
SBI Magnum Midcap Fund (G) 5,014.81 1,603,325 2.54% 1,555,801
SBI Magnum Midcap Fund - Direct (G) 957.40 306,098 2.54% 286,719
Total 0 0
Scheme Name Sep '21 Jun '21
  Asset (Rs. cr.) No. of share % No. of share
ABSL Small Cap Fund - D (G) 487.76 86,568 1.41% 417,873
DSP Dynamic Asset Allocation - DP (G) - - - 14,759
DSP Dynamic Asset Allocation - RP (G) - - - 147,540
DSP Equity & Bond Fund - Direct (G) - - - 48,620
DSP Equity & Bond Fund - Regular (G) - - - 715,927
DSP Equity Savings Fund - Regular (G) 343.97 87,026 2.01% 88,075
DSP Flexi Cap Fund - DP - (G) - - - 106,026
DSP Flexi Cap Fund - RP - (G) - - - 600,321
DSP Focus Fund - Direct (G) 405.09 209,463 4.11% 237,921
DSP Focus Fund - Regular(G) 1,766.00 913,161 4.11% 1,058,148
DSP Regular Savings Fund - Regular (G) 199.05 16,536 0.66% 18,007
DSP Top 100 Equity Fund - Direct (G) 279.46 66,802 1.90% 67,366
Kotak India Growth Fund-Sr VII-Dir. (G) - - - 809
Kotak India Growth Fund-Sr VII-Reg. (G) - - - 9,835
Total 1716.33 1379556 14.2 3531227
Scheme Name Sep '21 Jun '21
  Asset (Rs. cr.) No. of share % No. of share

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 Sep '19, it displays data for 18 out of the total 45 AMCs.