About Us Contact Us Disclaimer Sitemap
  New Old
HOME TRADING DERIVATIVES PMS MUTUAL FUNDS IPO BONDS RESEARCH MARKET
left «« +1 «« -1 right
 
  Equity Analysis
  Price
Gainers & Losers
Out & Under Performers
Only Buyers & Sellers
Advances & Declines
New Highs & Lows
Weightage
5 Day's Up & Down
Historical Returns
  Volume
  Analysis
  News Analysis
Corporate Action
  Corporate Info
  Other Market
 
MF Holdings  
Axis Bank Ltd.
 
BSE Code 532215
ISIN Demat INE238A01034
Book Value(Rs.) 305.51
NSE Code AXISBANK
Dividend Yield % 0.31
Market Cap(Rs. in millions) 918661.33
P/E 20.32
EPS 16.02
Face Value(Rs.) 2  
Scheme NameMarket Val (In Crs.)AUM(In Crs.)Hold Percentage
HDFC Balanced Advantage Fund(G) 517.24 32369.03 1.60
HDFC Top 100 Fund(G) 409.56 12945.75 3.16
HDFC Equity Fund(G) 389.32 16041.82 2.43
HDFC Hybrid Equity Fund(G) 284.25 14890.78 1.91
HDFC Capital Builder Value Fund(G) 168.22 2952.15 5.70
Canara Rob Emerg Equities Fund-Reg(G) 124.81 4254 2.93
HDFC TaxSaver(G) 102.18 5068.59 2.02
HDFC Housing Opp Fund-Sr 1-1140D-Nov 2017(1)-Reg(G) 84.07 2146.82 3.92
HDFC Arbitrage-WP(G) 54.48 4221.97 1.29
Canara Rob Equity Tax Saver Fund-Reg(D) 42.96 828.59 5.18
Canara Rob Equity Diver Fund-Reg(G) 42.87 1601.32 2.68
HDFC Equity Opp Fund-Sr 2-1126D-May 2017(1)-Reg(G) 42.41 939.97 4.51
HDFC Equity Savings Fund(G) 40.67 3295.56 1.23
Canara Rob Equity Hybrid Fund-Reg(G) 37.47 2621.27 1.43
HDFC Hybrid Debt Fund(G) 29.12 2475.42 1.18
HDFC Index Fund-NIFTY 50 Plan(G) 28.95 1208.31 2.40
HDFC Index Fund-Sensex(G) 27.06 956.68 2.83
HDFC Equity Opp Fund-Sr 2-1100D-June 2017(1)-Reg(G) 25.36 603.91 4.20
HDFC Children's Gift Fund 15.72 2518.65 0.62
Canara Rob Consumer Trends Fund-Reg(G) 12.98 313.73 4.14
Page 1 of 2
Prev || Next
 
Terms & Conditions Copyright ©ATLAS All rights reserved. Designed || Developed & Content Powered By Accord Fintech Pvt.Ltd.

Important Links : SEBI | NSE | BSE | RBI | CDSL | NSDL | Investor Grievance| Policy
SEBI REG. NO. NSE : CASH INZ000166836; FO INZ000166836| BSE : CASH INZ000166836; FO INZ000166836
PMS : INP000000530 | AMFI : ARN0770 | CDSL : IN-DP-CDSL-465-2008