Updated:23 May 2013 02:36:00 PM(IST)
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| Company listed in NSE |
Pidilite Industries Ltd : -0.11% NSE Symbol: PIDILITIND | BSE Scrip code: 500331 | ISIN: INE318A01026 | Industry: Chemicals |
| Company listed in BSE |
Pidilite Industries Ltd : -0.29% NSE Symbol: PIDILITIND | BSE Scrip code: 500331 | ISIN: INE318A01026 | Industry: Chemicals |
| Mutual Funds invested in PIDILI |
ICICI Prudential FMCG - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 109.10 | 52 Week Low : 79.38 | Benchmark Index - BSE Sensex : 14891.25 |
DSP BlackRock India Tiger Fund - Growth : NAV Updated as on Oct 4, 2012 52 Week High : 44.26 | 52 Week Low : 33.37 | Benchmark Index - BSE Sensex : 5760.36 |
HDFC Prudence Fund - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 246.41 | 52 Week Low : 203.49 | Benchmark Index - BSE Sensex : 3836.65 |
Franklin FMCG Fund - Growth : NAV Updated as on Sep 9, 2011 52 Week High : 75.70 | 52 Week Low : 59.09 | Benchmark Index - BSE Sensex : 3864.46 |
ICICI Prudential Taxplan - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 162.92 | 52 Week Low : 125.45 | Benchmark Index - BSE Sensex : 4660.65 |
ING Domestic Opportunities Fund - Growth : NAV Updated as on Dec 23, 2011 52 Week High : 39.01 | 52 Week Low : 29.40 | Benchmark Index - BSE Sensex : 1907.48 |
HDFC Long Term Advantage Fund - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 153.33 | 52 Week Low : 123.89 | Benchmark Index - BSE Sensex : 19683.23 |
Franklin India Prima Fund - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 336.00 | 52 Week Low : 251.60 | Benchmark Index - BSE Sensex : 4660.65 |
PRINCIPAL Index Fund - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 41.49 | 52 Week Low : 33.03 | Benchmark Index - BSE Sensex : 5945.70 |
UTI Master Value Fund - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 56.79 | 52 Week Low : 45.96 | Benchmark Index - BSE Sensex : 2402.17 |
ICICI Prudential Long Term Plan - Regular - Cumulative : NAV Updated as on Mar 7, 2013 52 Week High : 24.14 | 52 Week Low : 22.13 | Benchmark Index - BSE Sensex : 1954.30 |
Edelweiss ELSS Fund - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 21.87 | 52 Week Low : 17.72 | Benchmark Index - BSE Sensex : 1544.26 |
Sahara Wealth Plus Fund - Fixed Pricing - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 23.20 | 52 Week Low : 18.55 | Benchmark Index - BSE Sensex : 4660.65 |
Sahara Wealth Plus Fund - Variable Pricing - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 24.52 | 52 Week Low : 19.50 | Benchmark Index - BSE Sensex : 4660.65 |
ICICI Prudential Fusion Fund - Growth : NAV Updated as on May 13, 2011 52 Week High : 16.92 | 52 Week Low : 12.98 | Benchmark Index - BSE Sensex : 11145.60 |
ICICI Prudential Dynamic Plan - FII Growth : NAV Updated as on Jun 20, 2011 52 Week High : 17.64 | 52 Week Low : 15.38 | Benchmark Index - BSE Sensex : 5257.90 |
ICICI Prudential Fusion Fund - IP - Growth : NAV Updated as on Mar 24, 2011 52 Week High : 17.90 | 52 Week Low : 13.65 | Benchmark Index - BSE Sensex : 10943.10 |
Franklin India Smaller Companies Fund - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 17.43 | 52 Week Low : 12.83 | Benchmark Index - BSE Sensex : 7847.00 |
Franklin India High Growth Companies Fund - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 15.00 | 52 Week Low : 11.22 | Benchmark Index - BSE Sensex : 4660.65 |
ICICI Prudential SMART Fund - Series H - 36 Months - Institutional - Growth : NAV Updated as on Dec 5, 2011 52 Week High : 16.67 | 52 Week Low : 15.02 | Benchmark Index - BSE Sensex : 3343.06 |
ICICI Prudential SMART Fund - Series H - 36 Months - Retail - Growth : NAV Updated as on Dec 5, 2011 52 Week High : 16.67 | 52 Week Low : 15.02 | Benchmark Index - BSE Sensex : 3343.06 |
ICICI Prudential Long Term Plan - Premium - Growth : NAV Updated as on Mar 7, 2013 52 Week High : 12.56 | 52 Week Low : 11.47 | Benchmark Index - BSE Sensex : 1954.30 |
ICICI Prudential Long Term Plan - Premium Plus - Growth : NAV Updated as on Oct 4, 2012 52 Week High : 12.28 | 52 Week Low : 11.14 | Benchmark Index - BSE Sensex : 1886.38 |