MF HOLDING

Sudarshan Chemical Industries Ltd.

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BSE

Dec 12, 04:01
1000.00 -2.70 ( -0.27%)
Volume 6978
Prev. Close 1002.70
Open Price 998.00
Today's Low / High
982.30
     
1005.75
Bid Price(Qty.) 0.00 (0)
Open Pr.(Qty.) 0.00 (0)
52 Wk Low / High
795.75
     
1604.00

NSE

Dec 12, 03:50
996.50 -6.70 ( -0.67%)
Volume 171141
Prev. Close 1003.20
Open Price 1003.20
Today's Low / High
980.30
     
1015.00
Bid Price(Qty.) 0.00 (0)
Open Pr.(Qty.) 996.50 (716)
52 Wk Low / High
796.15
     
1603.00
You can view latest mutual fund holdings of the company.
ISIN No INE659A01023 Market Cap. ( in Cr. ) 7833.14 P/BV 6.45 Book Value ( ) 154.41
BSE Code 506655 52 Week High/Low ( ) 1603/796 FV/ML 2/1 P/E(X) 140.50
NSE Code SUDARSCHEMEQ Book Closure 22/09/2025 EPS ( ) 7.09 Div Yield (%) 0.45
Scheme NameScheme TypeHolding DateValue ( Rs. Cr )Holding (%)
HDFC Small Cap Fund - Regular Plan Open Ended 31/10/2025665.721.73
Tata Small Cap Fund Open Ended 31/10/2025539.394.57
Axis Small Cap Fund Open Ended 31/10/2025223.680.83
Franklin India Opportunities Fund Open Ended 31/10/2025164.632.01
Nippon India Small Cap Fund Open Ended 31/10/2025124.590.18
Tata Large & Mid Cap Fund - Regula...Open Ended 31/10/2025111.961.27
DSP Small Cap Fund Open Ended 31/10/202573.590.44
Franklin India Multi Cap Fund Open Ended 31/10/202568.081.33
Motilal Oswal Nifty Microcap 250 Index ...Open Ended 31/10/202525.310.93
DSP Multicap Fund Open Ended 31/10/202524.130.92
Axis Business Cycles Fund Open Ended 31/10/202517.720.77
DSP Business Cycle Fund Open Ended 31/10/202511.590.98
ICICI Prudential Commodities Fund Open Ended 31/10/20251.700.05
Samco Multi Cap Fund Open Ended 31/10/20251.390.40
Groww Nifty Total Market Index Fund Open Ended 31/10/20250.120.04
Motilal Oswal BSE 1000 Index Fund Open Ended 31/10/20250.020.04
Angel One Nifty Total Market Index Fund Open Ended 31/10/20250.020.04
Mirae Asset Nifty Total Market Index Fu...Open Ended 31/10/20250.020.04
Angel One Nifty Total Market ETF Open Ended 31/10/20250.020.04
Bandhan Nifty Total Market Index Fund Open Ended 31/10/20250.010.04