Updated:19 Jun 2013 03:45:00 PM(IST)
Sensex19245.70
22.42 0.12%
Nifty5822.25
8.65 0.15%
USD/INR57.87
-0.34 -0.59%
| Company listed in NSE |
First Leasing Company of India Ltd : 0.78% NSE Symbol: FIRSTLEASE | BSE Scrip code: 500145 | ISIN: INE492B01019 | Industry: Finance & Investments |
Twenty First Century Management Services Ltd : 0.00% NSE Symbol: 21STCENMGM | BSE Scrip code: 526921 | ISIN: INE253B01015 | Industry: Finance & Investments |
Firstsource Solutions Ltd : -0.48% NSE Symbol: FSL | BSE Scrip code: 532809 | ISIN: INE684F01012 | Industry: Computers - Software - Medium / Small |
First Winner Industries Ltd : 0.00% NSE Symbol: FIRSTWIN | BSE Scrip code: 532996 | ISIN: INE315J01015 | Industry: Textiles - Products |
Capital First Ltd : 0.19% NSE Symbol: CAPF | BSE Scrip code: 532938 | ISIN: INE688I01017 | Industry: Finance & Investments |
| Company listed in BSE |
First Leasing Company of India Ltd : -1.03% NSE Symbol: FIRSTLEASE | BSE Scrip code: 500145 | ISIN: INE492B01019 | Industry: Finance & Investments |
First Custodian Fund(I) Ltd : 0.00% BSE Scrip code: 511122 | ISIN: INE609B01018 | Industry: Finance & Investments |
First Financial Services Ltd : -0.07% BSE Scrip code: 511369 | ISIN: INE141N01017 | Industry: Finance & Investments |
Twenty First Century Management Services Ltd : -0.20% NSE Symbol: 21STCENMGM | BSE Scrip code: 526921 | ISIN: INE253B01015 | Industry: Finance & Investments |
Firstsource Solutions Ltd : 0.00% NSE Symbol: FSL | BSE Scrip code: 532809 | ISIN: INE684F01012 | Industry: Computers - Software - Medium / Small |
Capital First Ltd : 0.34% NSE Symbol: FCH | BSE Scrip code: 532938 | ISIN: INE688I01017 | Industry: Finance & Investments |
First Winner Industries Ltd : -4.90% NSE Symbol: FIRSTWIN | BSE Scrip code: 532996 | ISIN: INE315J01015 | Industry: Textiles - Products |
Capital First Ltd : 0.34% NSE Symbol: CAPF | BSE Scrip code: 532938 | ISIN: INE688I01017 | Industry: Finance & Investments |
| Mutual Funds invested in FIRST |
LIC Monthly Income Plan - Cumulative : NAV Updated as on Apr 6, 2011 52 Week High : 33.15 | 52 Week Low : 19.82 | Benchmark Index - BSE Sensex : 2068.85 |
LIC MF Unit Linked Insurance scheme : NAV Updated as on Apr 6, 2011 52 Week High : 10.60 | 52 Week Low : 9.24 | Benchmark Index - BSE Sensex : 3625.81 |
Escorts Opportunities Fund - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 30.94 | 52 Week Low : 28.58 | Benchmark Index - BSE Sensex : 3836.65 |
LIC MF Liquid Fund - Growth : NAV Updated as on Apr 6, 2011 52 Week High : 17.96 | 52 Week Low : 12.11 | Benchmark Index - BSE Sensex : 1659.08 |
LIC MF Floater - Monthly Income Plan - Growth : NAV Updated as on Apr 6, 2011 52 Week High : 18.42 | 52 Week Low : 10.54 | Benchmark Index - BSE Sensex : 2068.85 |
LIC MF Interval Fund - Quarterly Plan - Series 2 - Growth : NAV Updated as on Apr 6, 2011 52 Week High : 12.16 | 52 Week Low : 11.22 | Benchmark Index - BSE Sensex : 1659.08 |
Religare Credit Opportunities Fund - Institutional - Growth : NAV Updated as on Dec 28, 2012 52 Week High : 12.98 | 52 Week Low : 11.79 | Benchmark Index - BSE Sensex : 1986.32 |
Fortis Overnight Fund - Institutional Plus Plan - Growth : NAV Updated as on Jun 17, 2010 52 Week High : 10.19 | 52 Week Low : 10.01 | Benchmark Index - BSE Sensex : 1655.36 |
Fortis Fixed Term Fund - Series 16 - Plan A - Reg - Growth : NAV Updated as on Oct 25, 2010 52 Week High : 10.53 | 52 Week Low : 10.02 | Benchmark Index - BSE Sensex : 1673.68 |
Fortis Bond Fund - Regular - Growth : NAV Updated as on Oct 25, 2010 52 Week High : 12.05 | 52 Week Low : 11.08 | Benchmark Index - BSE Sensex : 1629.29 |
Shinsei Liquid Fund - Institutional Plan - Growth : NAV Updated as on Jan 19, 2011 52 Week High : 1080.31 | 52 Week Low : 1023.05 | Benchmark Index - BSE Sensex : 1631.02 |
Religare Credit Opportunities Fund - Regular - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 12.90 | 52 Week Low : 11.87 | Benchmark Index - BSE Sensex : 2014.57 |
Shinsei Liquid Fund - Retail - Growth : NAV Updated as on Jan 19, 2011 52 Week High : 1079.08 | 52 Week Low : 1021.85 | Benchmark Index - BSE Sensex : 1631.02 |
Shinsei Treasury Advantage Fund - Growth : NAV Updated as on Jan 19, 2011 52 Week High : 1070.86 | 52 Week Low : 1013.61 | Benchmark Index - BSE Sensex : 1631.02 |
Shinsei Industry Leaders Fund - Growth : NAV Updated as on Jan 19, 2011 52 Week High : 13.07 | 52 Week Low : 9.77 | Benchmark Index - BSE Sensex : 9911.02 |
LIC MF Interval Fund - Monthly Plan - Series 1 - Growth : NAV Updated as on Apr 6, 2011 52 Week High : 12.35 | 52 Week Low : 11.56 | Benchmark Index - BSE Sensex : 1659.08 |
Fortis Fixed Term Fund - Series 16 - Plan B - Reg - Growth : NAV Updated as on Oct 25, 2010 52 Week High : 10.62 | 52 Week Low : 10.01 | Benchmark Index - BSE Sensex : 1673.68 |
Peerless Liquid Fund - Retail - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 12.30 | 52 Week Low : 11.46 | Benchmark Index - BSE Sensex : 1934.79 |
Peerless Liquid Fund - Institutional - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 12.54 | 52 Week Low : 11.58 | Benchmark Index - BSE Sensex : 1934.79 |
Peerless Liquid Fund - Super Institutional - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 12.76 | 52 Week Low : 11.65 | Benchmark Index - BSE Sensex : 1934.79 |
Peerless Ultra Short Term Fund - Retail - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 12.54 | 52 Week Low : 11.59 | Benchmark Index - BSE Sensex : 1934.79 |
Peerless Ultra Short Term Fund - Super Institutional - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 12.87 | 52 Week Low : 11.70 | Benchmark Index - BSE Sensex : 1934.79 |
Peerless Ultra Short Term Fund - Institutional - Growth : NAV Updated as on Dec 31, 2010 52 Week High : 10.50 | 52 Week Low : 10.05 | Benchmark Index - BSE Sensex : 1655.36 |
Fortis Fixed Term Fund - Series 16 - Plan D - Growth : NAV Updated as on Oct 25, 2010 52 Week High : 10.22 | 52 Week Low : 10.00 | Benchmark Index - BSE Sensex : 1673.68 |
Religare Fixed Maturity Plan - Series II - Plan E - Growth : NAV Updated as on Oct 3, 2011 52 Week High : 11.10 | 52 Week Low : 10.33 | Benchmark Index - BSE Sensex : 1785.58 |
Peerless Short Term Fund - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 13.00 | 52 Week Low : 11.80 | Benchmark Index - BSE Sensex : 2014.57 |
BNP Paribas Fixed Term Fund - Series 17 - Plan A - Growth : NAV Updated as on Oct 25, 2010 52 Week High : 10.21 | 52 Week Low : 10.00 | Benchmark Index - BSE Sensex : 1673.68 |
BNP Paribas Fixed Term Fund - Series 18 - Plan D - Growth : NAV Updated as on Oct 25, 2010 52 Week High : 10.08 | 52 Week Low : 10.01 | Benchmark Index - BSE Sensex : 1673.68 |
BNP Paribas Fixed Term Fund - Series 16 - Plan A - Reg - Growth : NAV Updated as on Oct 10, 2011 52 Week High : 11.63 | 52 Week Low : 10.51 | Benchmark Index - BSE Sensex : 1787.57 |
BNP Paribas Fixed Term Fund - Series 16 - Plan B - Reg - Growth : NAV Updated as on May 9, 2011 52 Week High : 11.09 | 52 Week Low : 10.39 | Benchmark Index - BSE Sensex : 1724.97 |
BNP Paribas Fixed Term Fund - Series 16 - Plan D - Growth : NAV Updated as on Sep 15, 2011 52 Week High : 11.11 | 52 Week Low : 10.10 | Benchmark Index - BSE Sensex : 1781.04 |