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Polycab India Ltd.

BSE: 542652 | NSE: POLYCAB |

Represents Equity.Intra - day transactions are permissible and normal trading is done in this category
Series: EQ | ISIN: INE455K01017 | SECTOR: Cables - Power & Others

BSE Live

Jul 10, 16:00
837.85 -8.25 (-0.98%)
Volume
AVERAGE VOLUME
5-Day
28,070
10-Day
33,657
30-Day
30,751
9,279
  • Prev. Close

    846.10

  • Open Price

    852.00

  • Bid Price (Qty.)

    837.85 (5)

  • Offer Price (Qty.)

    837.85 (45)

NSE Live

Jul 10, 15:57
837.60 -8.85 (-1.05%)
Volume
AVERAGE VOLUME
5-Day
473,695
10-Day
562,879
30-Day
452,061
182,861
  • Prev. Close

    846.45

  • Open Price

    843.90

  • Bid Price (Qty.)

    837.60 (378)

  • Offer Price (Qty.)

    0.00 (0)

Mutual Funds Holding

Stocks attracting Fund Managers
Polycab India traded by Mutual Fund Schemes
Check out MF Action in another Stock:
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Scheme Name Mar '20 Dec '19 Sep '19 Jun '19 Mar '19 Dec '18
  AUM
(Rs. cr.)
No. of share % No. of share No. of share No. of share No. of share No. of share
ABSL India GenNext (G) - - - - 153,466 66,018 - -
ABSL India GenNext-Direct (G) - - - - 24,263 10,396 - -
ABSL Infrastructure (G) - - - - 66,915 66,426 - -
ABSL Infrastructure -Direct (G) - - - - 7,828 7,694 - -
ABSL Midcap Fund (G) - - - - 348,050 352,816 - -
ABSL Midcap Fund -Direct (G) - - - - 35,169 40,880 - -
BOI AXA Conservative Hybrid (G) - - - - 11,250 - - -
BOI AXA Conservative Hybrid-D (G) - - - - 283 - - -
BOI AXA Conservative Hybrid-E (G) - - - - 5 - - -
BOI AXA M & I Fund (G) - - - - 5,777 - - -
BOI AXA M & I Fund - Direct (G) - - - - 973 - - -
BOI AXA Tax Advantage - Direct (G) - - - - 4,251 - - -
BOI AXA Tax Advtg -Eco (G) - - - - 142 - - -
BOI AXA Tax Advtg -RP (G) - - - - 28,834 - - -
CR Equity Hybrid Fund - DP - (G) - - - - 6,305 5,705 - -
CR Equity Hybrid Fund - RP - (G) - - - - 260,266 230,793 - -
Franklin (I) Smaller Co (G) - - - 531,884 657,676 492,788 - -
Franklin (I) Smaller Co -Direct (G) - - - 154,908 191,105 140,864 - -
HSBC Large & Midcap Fund - Direct (G) - - - - - 2,720 - -
HSBC Large & Midcap Fund - Regular (G) - - - - - 145,154 - -
IDFC Sterling Value Fund (G) - - - - - 454,759 - -
IDFC Sterling Value Fund - D (G) - - - - - 46,859 - -
Kotak Debt Hybrid (G) - - - - - 7,748 - -
Kotak Debt Hybrid - D (G) - - - - - 249 - -
L&T Emerging Businesses Fund-DP (G) 1,400.87 226,586 1.20% - - 274,199 - -
L&T Emerging Businesses Fund-RP (G) 4,159.06 672,715 1.20% - - 836,686 - -
L&T India Hybrid Equity Fund (G) - - - - - 757,239 - -
L&T India Hybrid Equity Fund - D (G) - - - - - 54,977 - -
L&T Infrastructure (G) - - - - - 424,354 - -
L&T Infrastructure -Direct (G) - - - - - 90,474 - -
L&T Large and Midcap (G) - - - - - 249,261 - -
L&T Large and Midcap Fund - D (G) - - - - - 17,188 - -
Nippon Large Cap Fund - Direct (G) - - - - - 97,612 - -
Nippon Large Cap Fund - RP (G) - - - - - 540,205 - -
Sundaram Infrastructure Adv -DP (G) - - - - - 5,829 - -
Sundaram Infrastructure Adv -RP (G) - - - - - 103,375 - -
Total - 899,301 - 686,792 1,802,558 5,523,268 0 0
Scheme Name Mar '20 Dec '19
  Asset (Rs. cr.) No. of share % No. of share
L&T Emerging Businesses Fund-DP (G) 1,400.87 226,586 1.20% -
L&T Emerging Businesses Fund-RP (G) 4,159.06 672,715 1.20% -
Total 0 0
Scheme Name Mar '20 Dec '19
  Asset (Rs. cr.) No. of share % No. of share
Franklin (I) Smaller Co (G) - - - 531,884
Franklin (I) Smaller Co -Direct (G) - - - 154,908
Total 0 0 0 686792
Scheme Name Mar '20 Dec '19
  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.