Sun TV Network Ltd.

BSE: 532733 | NSE: SUNTV |

Represents Equity.Intra - day transactions are permissible and normal trading is done in this category
Series: EQ | ISIN: INE424H01027 | SECTOR: Media & Entertainment

BSE Live

Dec 03, 15:30
528.60 -4.45 (-0.83%)
Volume
AVERAGE VOLUME
5-Day
72,870
10-Day
91,186
30-Day
103,744
38,413
  • Prev. Close

    533.05

  • Open Price

    538.25

  • Bid Price (Qty.)

    526.00 (51)

  • Offer Price (Qty.)

    528.70 (100)

NSE Live

Dec 03, 15:56
528.00 -5.65 (-1.06%)
Volume
AVERAGE VOLUME
5-Day
1,127,351
10-Day
1,332,421
30-Day
2,079,026
679,161
  • Prev. Close

    533.65

  • Open Price

    534.50

  • Bid Price (Qty.)

    0.00 (0)

  • Offer Price (Qty.)

    528.00 (155)

Mutual Funds Holding

Stocks attracting Fund Managers
Sun TV Network 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) 2,841.46 168,683 0.30% 249,824 259,578 191,946 256,249 251,823
ABSL Arbitrage Fund - D (G) 5,895.12 349,963 0.30% 532,858 489,187 189,243 224,237 225,675
ABSL Digital India Fund (G) - - - - - - - 83,905
ABSL Digital India Fund - D (G) - - - - - - - 33,073
ABSL Dividend Yield Fund (G) - - - - - 125,219 131,668 122,204
ABSL Dividend Yield Fund - D (G) - - - - - 7,428 7,828 7,059
ABSL Equity Hybrid '95 Fund (G) - - - - - - 904,703 2,506,491
ABSL Equity Hybrid '95 Fund - D (G) - - - - - - 92,636 255,338
ABSL Focused Equity Fund (G) - - - - - 1,594,085 2,075,641 1,791,105
ABSL Focused Equity Fund - D (G) - - - - - 506,641 646,515 560,465
ABSL Midcap Fund (G) 2,881.26 558,748 0.98% 550,012 574,015 546,454 565,946 531,935
ABSL Midcap Fund -Direct (G) 312.39 60,580 0.98% 58,372 61,728 59,147 59,270 55,741
ABSL Pure Value - Direct (G) - - - - 135,212 142,124 156,408 70,842
ABSL Pure Value Fund (G) - - - - 1,030,016 1,025,264 1,103,103 489,313
Axis Arbitrage Fund-DP (G) 2,544.07 5,034 0.01% 17,692 37,239 53,303 56,926 40,296
Axis Arbitrage Fund-RP (G) 1,153.49 2,283 0.01% 8,152 18,741 33,862 38,995 27,191
DSP Arbitrage Fund - Direct (G) 1,231.28 95,023 0.39% 25,756 58,746 21,851 23,234 33,920
DSP Arbitrage Fund - Regular (G) 526.36 40,621 0.39% 10,326 37,692 18,632 21,603 33,695
DSP Dynamic Asset Allocation - DP (G) 453.74 19,753 0.22% 10,159 1,068 - - -
DSP Dynamic Asset Allocation - RP (G) 3,684.02 160,381 0.22% 101,558 10,979 - - -
DSP Equity Opportunities - Direct (G) - - - - 110,163 141,433 199,368 190,218
DSP Equity Opportunities - Reg (G) - - - - 595,332 780,156 1,148,757 1,116,420
DSP Equity Savings Fund - Direct (G) 39.62 941 0.12% - - - - -
DSP Equity Savings Fund - Regular (G) 343.97 8,168 0.12% - - - - -
HDFC Arbitrage Fund - Direct (G) 1.10 26 0.12% 105 - 12 28 24
HDFC Arbitrage Fund - RP (G) 4.73 112 0.12% 473 - 53 125 109
HDFC Arbitrage Fund - WP (G) 1,863.21 44,244 0.12% 137,374 - 15,522 42,705 34,447
HDFC Arbitrage Fund - WP - DP (G) 6,110.49 145,099 0.12% 477,359 - 37,657 89,575 66,463
HDFC Large and Mid Cap - DP - (G) 176.45 18,500 0.53% 14,354 11,033 - - -
HDFC Large and Mid Cap - RP - (G) 2,656.48 278,523 0.53% 291,788 317,294 - - -
ICICI Pru Eqty-Arbitrage-Direct (G) 9,633.09 209,684 0.11% 391,343 159,637 178,159 184,371 -
ICICI Pru Equity-Arbitrage- RP (G) 5,181.38 112,784 0.11% 242,518 99,545 137,233 163,128 -
ICICI Pru Focused Equity Fund - D (G) - - - - - 57,442 66,421 -
ICICI Pru Focused Equity Fund - RP (G) - - - - - 347,032 372,833 -
ICICI Pru Large & Mid Cap Fund (G) - - - - - 304,175 500,697 -
ICICI Pru Large & Mid Cap Fund - D (G) - - - - - 93,950 102,255 -
ICICI Pru Value Discovery Fund (G) - - - 300,161 1,497,516 1,729,107 1,827,983 -
ICICI Pru Value Discovery Fund - D (G) - - - 89,135 490,932 593,195 657,756 -
Kotak Balanced Advantage - Dir. (G) 705.79 18,156 0.13% 48,801 5,904 - 2,990 2,588
Kotak Balanced Advantage - Reg. (G) 9,647.74 248,186 0.13% 734,307 94,137 - 59,892 58,698
Kotak Debt Hybrid (G) - - - - - - 13,175 21,171
Kotak Debt Hybrid - D (G) - - - - - - 762 1,123
Kotak Equity Arbitrage - Direct (G) 10,000.00 309,814 0.11% 424,692 461,812 - 223,780 142,050
Kotak Equity Arbitrage - Regular (G) 10,000.00 229,798 0.11% 321,419 397,203 - 267,429 188,792
Kotak Equity Savings Fund (G) 1,352.74 216,824 0.81% - - - - 45,932
Kotak Equity Savings Fund - D (G) 175.53 28,135 0.81% - - - - 3,646
Kotak India Growth Fund-Sr IV-Dir. (G) - - - - - - 3,087 2,869
Kotak India Growth Fund-Sr IV-Reg. (G) - - - - - - 93,968 87,584
L&T Arbitrage Oppor. - Direct (G) - - - - 109,910 62,527 642 -
L&T Arbitrage Oppor. - Regular (G) - - - - 279,988 232,369 1,504 -
L&T Balanced Advantage Fund -Dir. (G) - - - - 15,996 - - -
L&T Balanced Advantage Fund -Reg. (G) - - - - 395,775 - - -
Motilal MOSt Oswal Midcap 100 ETF 80.34 5,801 0.36% - 5,490 - 5,659 5,817
Nippon Arbitrage Fund (G) 5,714.42 271,388 0.24% 302,083 356,342 474,991 - 140,144
Nippon Arbitrage Fund - Direct (G) 6,999.79 332,433 0.24% 316,239 356,113 380,649 - 98,355
Nippon Consumption Fund - (G) - - - - 52,216 47,973 - -
Nippon Consumption Fund - Direct (G) - - - - 5,539 5,171 - -
Nippon ETF Dividend Opportunities 3.69 165 0.23% 134 134 167 - 159
Nippon Tax Saver (ELSS) (G) - - - - - 859,106 - -
Nippon Tax Saver(ELSS)-Direct (G) - - - - - 70,305 - -
SBI - ETF SENSEX NEXT 50 - - - 5,974 5,556 - - -
SBI Arbitrage Oppor. - Direct (G) 2,931.13 5,800 0.01% 186,712 106,196 17,601 9,206 6,068
SBI Arbitrage Oppor. Fund (G) 1,808.54 3,579 0.01% 108,074 71,719 15,823 7,993 5,905
Total - 3,949,229 - 5,957,754 8,715,683 11,097,007 12,411,051 9,338,653
Scheme Name Sep '21 Jun '21
  Asset (Rs. cr.) No. of share % No. of share
ABSL Midcap Fund (G) 2,881.26 558,748 0.98% 550,012
ABSL Midcap Fund -Direct (G) 312.39 60,580 0.98% 58,372
DSP Arbitrage Fund - Direct (G) 1,231.28 95,023 0.39% 25,756
DSP Arbitrage Fund - Regular (G) 526.36 40,621 0.39% 10,326
DSP Dynamic Asset Allocation - DP (G) 453.74 19,753 0.22% 10,159
DSP Dynamic Asset Allocation - RP (G) 3,684.02 160,381 0.22% 101,558
DSP Equity Savings Fund - Direct (G) 39.62 941 0.12% -
DSP Equity Savings Fund - Regular (G) 343.97 8,168 0.12% -
HDFC Large and Mid Cap - DP - (G) 176.45 18,500 0.53% 14,354
Kotak Equity Savings Fund (G) 1,352.74 216,824 0.81% -
Kotak Equity Savings Fund - D (G) 175.53 28,135 0.81% -
Motilal MOSt Oswal Midcap 100 ETF 80.34 5,801 0.36% -
Nippon Arbitrage Fund - Direct (G) 6,999.79 332,433 0.24% 316,239
Nippon ETF Dividend Opportunities 3.69 165 0.23% 134
Total 0 0
Scheme Name Sep '21 Jun '21
  Asset (Rs. cr.) No. of share % No. of share
ABSL Arbitrage Fund (G) 2,841.46 168,683 0.30% 249,824
ABSL Arbitrage Fund - D (G) 5,895.12 349,963 0.30% 532,858
Axis Arbitrage Fund-DP (G) 2,544.07 5,034 0.01% 17,692
Axis Arbitrage Fund-RP (G) 1,153.49 2,283 0.01% 8,152
HDFC Arbitrage Fund - Direct (G) 1.10 26 0.12% 105
HDFC Arbitrage Fund - RP (G) 4.73 112 0.12% 473
HDFC Arbitrage Fund - WP (G) 1,863.21 44,244 0.12% 137,374
HDFC Arbitrage Fund - WP - DP (G) 6,110.49 145,099 0.12% 477,359
HDFC Large and Mid Cap - RP - (G) 2,656.48 278,523 0.53% 291,788
ICICI Pru Eqty-Arbitrage-Direct (G) 9,633.09 209,684 0.11% 391,343
ICICI Pru Equity-Arbitrage- RP (G) 5,181.38 112,784 0.11% 242,518
ICICI Pru Value Discovery Fund (G) - - - 300,161
ICICI Pru Value Discovery Fund - D (G) - - - 89,135
Kotak Balanced Advantage - Dir. (G) 705.79 18,156 0.13% 48,801
Kotak Balanced Advantage - Reg. (G) 9,647.74 248,186 0.13% 734,307
Kotak Equity Arbitrage - Direct (G) 10,000.00 309,814 0.11% 424,692
Kotak Equity Arbitrage - Regular (G) 10,000.00 229,798 0.11% 321,419
Nippon Arbitrage Fund (G) 5,714.42 271,388 0.24% 302,083
SBI - ETF SENSEX NEXT 50 - - - 5,974
SBI Arbitrage Oppor. - Direct (G) 2,931.13 5,800 0.01% 186,712
SBI Arbitrage Oppor. Fund (G) 1,808.54 3,579 0.01% 108,074
Total 781.62 2403156 2.59 4870844
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.