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में स्थिति को सफलतापूर्वक जोड़ा गया:

कृपया अपने होल्डिंग्स पोर्टफोलियो का नाम रखें
 
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वेबसाइट
  • अलर्ट नोटिफिकेशन के रूप में
  • इस फीचर का प्रयोग करने के लिए, सुनिश्चित करें कि आप अपने अकाउंट से साइन इन हों
मोबाइल एप
  • इस फीचर का प्रयोग करने के लिए, सुनिश्चित करें कि आप अपने अकाउंट से साइन इन हों
  • सुनिश्चित करें कि आपने उसी यूजर प्रोफाइल से साइन इन किया हो

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आवृत्ति

आवृत्ति

डिलीवरी विधी’

स्थिति

 नामचिन्हआखिरीचेंज %कुल एसेटसमय
 SBI Magnum Balanced Fund Direct Growth0P0000.337.916-0.66%756.39B10/07 
 SBI Equity Hybrid Fund Regular Growth0P0000.305.963-0.67%756.39B10/07 
 SBI Magnum Balanced Fund Regular Dividend Payout0P0000.64.835-0.67%756.39B10/07 
 SBI Magnum Balanced Fund Direct Dividend0P0000.98.881-0.66%756.39B10/07 
 SBI Premier Liquid Fund Institutional Growth0P0000.4,127.595+0.01%651.72B10/07 
 SBI Premier Liquid Fund Institutional Daily Divide0P0000.1,326.045+0.01%651.72B10/07 
 SBI Premier Liquid Fund Regular Plan Growth0P0000.4,088.936+0.01%651.72B10/07 
 SBI Premier Liquid Fund Regular Plan Daily Dividen0P0000.1,140.7390.00%651.72B04/08 
 SBI Premier Liquid Fund Direct Plan Growth0P0000.4,131.037+0.01%651.72B10/07 
 SBI Premier Liquid Fund Direct Plan Fortnightly Di0P0000.1,348.991+0.01%651.72B10/07 
 SBI Premier Liquid Fund Regular Plan Fortnightly D0P0000.1,341.911+0.01%651.72B10/07 
 SBI Premier Liquid Fund Institutional Fortnightly 0P0000.1,222.330+0.02%675.7B07/01 
 SBI Premier Liquid Fund Direct Plan Daily Dividend0P0000.1,144.0480.00%651.72B10/07 
 SBI Premier Liquid Fund Direct Plan Weekly Dividen0P0000.1,386.730+0.01%651.72B10/07 
 SBI Premier Liquid Fund Regular Plan Weekly Divide0P0000.1,379.810+0.01%651.72B10/07 
 HDFC Liquid Fund Monthly Dividend Payout0P0000.1,028.116+0.01%643.98B10/07 
 HDFC Liquid Fund Daily Dividend Reinvestment0P0000.1,019.8200.00%643.98B10/07 
 HDFC Liquid Fund Growth0P0000.5,132.481+0.01%643.98B10/07 
 HDFC Liquid Fund Weekly Dividend Payout Reinvestme0P0000.1,031.435+0.01%643.98B10/07 
 HDFC Liquid Fund -Direct Plan - Growth Option0P0000.5,188.319+0.01%643.98B10/07 
 HDFC Liquid Fund -Direct Plan Weekly Dividend Payo0P0000.1,031.443+0.01%643.98B10/07 
 HDFC Liquid Fund -Direct Plan Monthly Dividend Pay0P0000.1,028.141+0.01%643.98B10/07 
 HDFC Liquid Fund -Direct Plan Daily Dividend Reinv0P0000.1,019.8200.00%643.98B10/07 
 ICICI Pru Life-Maximiser Fund V0P0000.55.309-0.39%523.6B10/07 
 HDFC Balanced Adv Direct Plan Dividend Payout Opti0P0001.46.127-0.25%1,002.99B10/07 
 ICICI Prudential Balanced Advantage Fund Direct Pl0P0000.29.590-0.24%637.87B10/07 
 ICICI Prudential Balanced Advantage Fund Direct Pl0P0000.82.560-0.22%637.87B10/07 
 ICICI Prudential Balanced Advantage Fund Direct Pl0P0000.26.520-0.23%637.87B10/07 
 ICICI Prudential Balanced Advantage Fund Dividend 0P0000.18.840-0.21%637.87B10/07 
 ICICI Prudential Balanced Advantage Fund Growth0P0000.74.010-0.23%637.87B10/07 
 ICICI Prudential Balanced Advantage Fund Monthly D0P0000.22.240-0.22%637.87B10/07 
 SBI Life - Equity Fund0P0000.207.066-0.40%782.78B10/07 
 ICICI Prudential Liquid Plan Daily Dividend Reinve0P0000.100.1480.00%558.12B10/07 
 ICICI Prudential Liquid Plan Growth0P0000.387.249+0.01%558.12B10/07 
 ICICI Prudential Liquid Plan Direct Plan Growth0P0000.391.026+0.01%558.12B10/07 
 ICICI Prudential Liquid Plan Direct Plan Daily Div0P0000.100.1080.00%558.12B10/07 
 ICICI Prudential Liquid Plan Direct Plan Weekly Di0P0000.100.223+0.01%558.12B10/07 
 ICICI Prudential Liquid Plan Dividend Payout Other0P0001.179.973+0.01%558.12B10/07 
 Kotak Select Focus Dividend0P0000.52.152-0.56%525.33B10/07 
 Kotak Select Focus Fund - Dividend - Direct0P0000.59.407-0.56%525.33B10/07 
 Kotak Select Focus Fund - Growth - Direct0P0000.97.275-0.56%525.33B10/07 
 Kotak Select Focus Growth0P0000.86.367-0.56%525.33B10/07 
 Axis Equity Growth0P0000.61.000-0.54%334.13B10/07 
 Axis Equity Dividend Payout0P0000.19.260-0.57%334.13B10/07 
 Axis Equity Fund Direct Plan Dividend Payout0P0000.27.410-0.54%334.13B10/07 
 Axis Equity Fund Direct Plan Growth0P0000.70.150-0.54%334.13B10/07 
 HDFC Mid-Cap Opportunities Fund Dividend Payout0P0000.54.213-0.39%797.18B10/07 
 HDFC Mid-Cap Opportunities Fund Growth0P0000.196.729-0.39%797.18B10/07 
 HDFC Mid-Cap Opportunities Fund -Direct Plan Divid0P0000.81.755-0.38%797.18B10/07 
 HDFC Mid-Cap Opportunities Fund -Direct Plan - Gro0P0000.216.612-0.38%797.18B10/07 
 SBI Blue Chip Fund Direct Dividend0P0000.67.386-0.65%522.51B10/07 
 SBI Blue Chip Fund Direct Growth0P0000.103.831-0.65%522.51B10/07 
 SBI Bluechip Fund Regular Dividend0P0000.53.332-0.66%522.51B10/07 
 SBI Bluechip Fund Regular Growth0P0000.93.748-0.66%522.51B10/07 
 Mirae Asset India Opportunities Fund - Direct Plan0P0000.72.584-0.31%395.3B10/07 
 Mirae Asset India Opportunities Fund - Direct Plan0P0000.128.237-0.31%395.3B10/07 
 Mirae Asset India Opportunities Fund Regular Divid0P0000.31.612-0.32%395.3B10/07 
 Mirae Asset India Opportunities Fund Regular Growt0P0000.113.793-0.32%395.3B10/07 
 ICICI Prudential Focused Bluechip Equity Fund Dire0P0000.64.370-0.42%697.63B10/07 
 ICICI Prudential Focused Bluechip Equity Fund Dire0P0000.122.130-0.42%697.63B10/07 
 ICICI Prudential Focused Bluechip Equity Fund Reta0P0000.111.230-0.41%697.63B10/07 
 ICICI Prudential Focused Bluechip Equity Fund Reta0P0000.32.570-0.43%697.63B10/07 
 Aditya Birla Sun Life Cash Plus Fund Retail Growth0P0000.684.020+0.01%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Weekly Dividend Pa0P0000.100.316+0.01%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Daily Dividend Rei0P0000.100.1950.00%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Discipline Advanta0P0000.285.096+0.02%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Dividend Payout Di0P0000.163.729+0.01%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Growth Direct Plan0P0000.426.590+0.01%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Fund Institutional0P0000.108.0230.00%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Fund Institutional0P0000.701.946+0.01%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Fund Institutional0P0000.108.303+0.01%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Regular Plan Daily0P0000.100.1950.00%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Regular Dividend P0P0001.124.730+0.01%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Regular Plan Growt0P0000.421.508+0.01%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Regular Plan Weekl0P0000.100.314+0.01%445.46B10/07 
 Aditya Birla Sun Life Cash Plus Fund Retail Daily 0P0000.163.6940.00%445.46B10/07 
 Axis Long Term Equity Dividend0P0000.25.975-0.51%353.58B10/07 
 Axis Long Term Equity Fund - Direct Plan - Dividen0P0000.55.429-0.51%353.58B10/07 
 Axis Long Term Equity Fund - Direct Plan - Growth 0P0000.109.732-0.51%353.58B10/07 
 Axis Long Term Equity Growth0P0000.97.180-0.51%353.58B10/07 
 HDFC Equity Fund -Direct Plan - Dividend Option0P0000.94.866-0.26%757.84B10/07 
 HDFC Equity Fund -Direct Plan - Growth Option0P0000.2,174.290-0.26%757.84B10/07 
 HDFC Equity Fund Growth0P0000.1,989.098-0.27%757.84B10/07 
 HDFC Equity Fund Dividend Payout0P0000.78.847-0.27%757.84B10/07 
 HDFC Standard Life - Opportunities Wealth Builder 0P0000.78.879-0.39%356.72B10/07 
 SBI Emerging Businesses Fund Growth0P0000.357.867+0.13%371.22B09/07 
 SBI Emerging Businesses Fund Dividend Payout0P0000.65.457+0.13%371.22B09/07 
 SBI Emerging Businesses Fund Direct Plan Growth0P0000.401.700+0.13%371.22B09/07 
 SBI Emerging Businesses Fund Direct Plan Dividend 0P0000.97.891+0.13%371.22B09/07 
 UTI Liquid Fund Cash Plan Institutional Annual Div0P0001.1,892.219+0.01%236.23B10/07 
 UTI Liquid Fund Cash Plan Growth0P0000.3,894.118+0.01%236.23B10/07 
 UTI Liquid Fund Cash Plan Institutional Growth0P0000.4,291.322+0.01%236.23B10/07 
 UTI Liquid Fund Cash Plan Dividend Payout0P0000.1,133.323+0.01%236.23B10/07 
 UTI Liquid Fund Cash Plan Institutional Monthly Di0P0000.1,076.384+0.01%236.23B10/07 
 UTI Liquid Fund Cash Plan Institutional Daily Divi0P0000.1,129.620+0.01%236.23B10/07 
 UTI Liquid Fund Cash Plan Monthly Dividend Payout0P0000.1,072.213+0.01%236.23B10/07 
 UTI Liquid Fund Cash Plan Institutional Weekly Div0P0000.1,053.022+0.01%236.23B10/07 
 UTI Liquid Fund Cash Plan Institutional Fortnightl0P0001.1,165.312+0.01%236.23B10/07 
 UTI Liquid Fund Institutional Quarterly Dividend P0P0001.1,786.675+0.01%236.23B10/07 
 UTI Liquid Fund - Cash Plan - Institutional Plan -0P0000.4,330.192+0.01%236.23B10/07 
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