Mahindra Lifespace Developers Ltd.

BSE: 532313 | NSE: MAHLIFE |

Represents Equity.Intra - day transactions are permissible and normal trading is done in this category
Series: EQ | ISIN: INE813A01018 | SECTOR: Construction & Contracting - Civil

BSE Live

Dec 09, 10:23
251.85 0.55 (0.22%)
Volume
AVERAGE VOLUME
5-Day
4,779
10-Day
7,275
30-Day
9,839
787
  • Prev. Close

    251.30

  • Open Price

    253.20

  • Bid Price (Qty.)

    251.70 (1)

  • Offer Price (Qty.)

    252.55 (14)

NSE Live

Dec 09, 10:23
252.00 0.40 (0.16%)
Volume
AVERAGE VOLUME
5-Day
95,325
10-Day
107,327
30-Day
113,489
33,849
  • Prev. Close

    251.60

  • Open Price

    255.95

  • Bid Price (Qty.)

    251.90 (10)

  • Offer Price (Qty.)

    252.30 (8)

Mutual Funds Holding

Stocks attracting Fund Managers
Mahindra Lifespace Developers 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
ICICI Pru Equity Savings Fund (G) - - - - - 156,318 154,637 -
ICICI Pru Equity Savings Fund - D (G) - - - - - 30,666 30,347 -
ICICI Pru Infrastructure Fund (G) 1,139.83 474,585 1.15% 455,213 470,516 573,778 608,994 -
ICICI Pru Infrastructure Fund - D (G) 479.36 199,589 1.15% 184,185 106,211 160,887 52,487 -
ICICI Pru Large & Mid Cap Fund (G) - - - 41,811 41,840 53,069 61,525 -
ICICI Pru Large & Mid Cap Fund - D (G) - - - 22,436 16,682 16,391 12,565 -
ICICI Pru Long Term Equity (Tax Svng)-G 8,551.46 3,003,228 0.97% 1,203,881 1,227,105 788,681 642,034 -
ICICI Pru Long Term Equity-Tax Svng-DP-G 958.38 336,578 0.97% 131,376 129,234 80,724 64,992 -
ICICI Pru Smallcap Fund - D (G) 504.69 687,051 3.76% 247,589 274,869 280,759 284,123 -
ICICI Pru Smallcap Fund - RP (G) 2,437.18 3,317,812 3.76% 1,271,607 1,381,802 1,244,975 1,246,790 -
ICICI Pru Smallcap Fund - RP (IDCW) 2,437.18 3,317,812 3.76% 1,271,607 1,381,802 1,244,975 1,246,790 -
ICICI Prudential Equity & Debt (G) - - - - - 39,463 65,739 -
ICICI Prudential Equity & Debt - D (G) - - - - - 5,090 8,186 -
ICICI Prudential Multicap Fund (G) 5,169.94 2,176,027 1.16% 685,481 674,959 593,892 645,494 -
ICICI Prudential Multicap Fund - D (G) 1,172.12 493,345 1.16% 191,382 248,813 246,239 276,477 -
Kotak Balanced Advantage - Dir. (G) 705.79 91,993 0.36% 27,047 25,777 - 22,027 19,696
Kotak Balanced Advantage - Reg. (G) 9,647.74 1,257,490 0.36% 406,981 411,016 - 441,262 446,715
Kotak Bluechip Fund (G) 2,328.60 421,542 0.50% 158,182 170,537 - 182,872 165,783
Kotak Bluechip Fund - D (G) 769.23 139,252 0.50% 47,577 43,386 - 41,112 38,699
Kotak Debt Hybrid (G) 753.42 65,467 0.24% 22,148 25,387 - 13,589 13,780
Kotak Debt Hybrid - D (G) 122.62 10,655 0.24% 2,567 1,899 - 786 731
Kotak Equity Hybrid (G) 1,815.69 907,188 1.38% 294,973 319,321 - 337,613 319,145
Kotak Equity Hybrid - D (G) 107.26 53,591 1.38% 15,055 14,817 - 13,252 11,681
Kotak India Growth Fund-Sr IV-Dir. (G) - - - - - - 3,062 2,867
Kotak India Growth Fund-Sr IV-Reg. (G) - - - - - - 93,197 87,527
Kotak India Growth Fund-Sr V-Dir. (G) - - - - 6,906 - 6,682 6,457
Kotak India Growth Fund-Sr V-Reg. (G) - - - - 210,972 - 204,383 197,534
Kotak Infras. & Eco Reform (G) 318.96 273,691 2.37% 91,805 94,252 - 121,145 106,887
Kotak Infras. & Eco Reform - D (G) 104.04 89,274 2.37% 25,691 19,540 - 15,199 12,888
Kotak Small Cap Fund (G) 4,145.67 1,771,141 1.18% 556,837 528,688 - 492,826 497,666
Kotak Small Cap Fund - D (G) 1,317.98 563,076 1.18% 162,907 126,913 - 90,029 97,347
Nippon Growth Fund - RP (G) 10,000.00 1,671,605 0.45% 551,161 - - - -
Nippon Growth Fund -Direct (G) 889.69 144,953 0.45% 46,844 - - - -
Total - 21,466,945 - 8,116,343 7,953,244 5,515,907 7,480,216 2,025,403
Scheme Name Sep '21 Jun '21
  Asset (Rs. cr.) No. of share % No. of share
ICICI Pru Infrastructure Fund (G) 1,139.83 474,585 1.15% 455,213
ICICI Pru Infrastructure Fund - D (G) 479.36 199,589 1.15% 184,185
ICICI Pru Long Term Equity (Tax Svng)-G 8,551.46 3,003,228 0.97% 1,203,881
ICICI Pru Long Term Equity-Tax Svng-DP-G 958.38 336,578 0.97% 131,376
ICICI Pru Smallcap Fund - D (G) 504.69 687,051 3.76% 247,589
ICICI Pru Smallcap Fund - RP (G) 2,437.18 3,317,812 3.76% 1,271,607
ICICI Pru Smallcap Fund - RP (IDCW) 2,437.18 3,317,812 3.76% 1,271,607
ICICI Prudential Multicap Fund (G) 5,169.94 2,176,027 1.16% 685,481
ICICI Prudential Multicap Fund - D (G) 1,172.12 493,345 1.16% 191,382
Kotak Balanced Advantage - Dir. (G) 705.79 91,993 0.36% 27,047
Kotak Balanced Advantage - Reg. (G) 9,647.74 1,257,490 0.36% 406,981
Kotak Bluechip Fund (G) 2,328.60 421,542 0.50% 158,182
Kotak Bluechip Fund - D (G) 769.23 139,252 0.50% 47,577
Kotak Debt Hybrid (G) 753.42 65,467 0.24% 22,148
Kotak Debt Hybrid - D (G) 122.62 10,655 0.24% 2,567
Kotak Equity Hybrid (G) 1,815.69 907,188 1.38% 294,973
Kotak Equity Hybrid - D (G) 107.26 53,591 1.38% 15,055
Kotak Infras. & Eco Reform (G) 318.96 273,691 2.37% 91,805
Kotak Infras. & Eco Reform - D (G) 104.04 89,274 2.37% 25,691
Kotak Small Cap Fund (G) 4,145.67 1,771,141 1.18% 556,837
Kotak Small Cap Fund - D (G) 1,317.98 563,076 1.18% 162,907
Nippon Growth Fund - RP (G) 10,000.00 1,671,605 0.45% 551,161
Nippon Growth Fund -Direct (G) 889.69 144,953 0.45% 46,844
Total 0 0
Scheme Name Sep '21 Jun '21
  Asset (Rs. cr.) No. of share % No. of share
ICICI Pru Large & Mid Cap Fund (G) - - - 41,811
ICICI Pru Large & Mid Cap Fund - D (G) - - - 22,436
Total 0 0 0 64247
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.