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Rural Electrification Corporation Ltd.

BSE: 532955 Sector: Financials
NSE: RECLTD ISIN Code: INE020B01018
BSE LIVE 15:52 | 18 Aug 166.90 -2.25
(-1.33%)
OPEN

166.05

HIGH

171.65

LOW

165.65

NSE 15:59 | 18 Aug 166.90 -2.20
(-1.30%)
OPEN

168.00

HIGH

171.80

LOW

165.70

OPEN 166.05
PREVIOUS CLOSE 169.15
VOLUME 864973
52-Week high 223.80
52-Week low 112.33
P/E 5.38
Mkt Cap.(Rs cr) 32,961
Buy Price 0.00
Buy Qty 0.00
Sell Price 166.90
Sell Qty 894.00
OPEN 166.05
CLOSE 169.15
VOLUME 864973
52-Week high 223.80
52-Week low 112.33
P/E 5.38
Mkt Cap.(Rs cr) 32,961
Buy Price 0.00
Buy Qty 0.00
Sell Price 166.90
Sell Qty 894.00

Rural Electrification Corporation Ltd. (RECLTD) - Mutual Fund Holding

Stocks attracting Fund Managers
SCHEME Amount Invested (Rs cr) No of shares Net Asset (%)
Baroda Pioneer Liquid Fund - Plan A (G) 297.49 3000000000 5.21
Baroda Pioneer Liquid Fund - Reg (Div-W) 297.49 3000000000 5.21
Baroda Pioneer Liquid Fund - Plan A (Div-D) 297.49 3000000000 5.21
Baroda Pioneer Liquid Fund - Plan A (Div-W) 297.49 3000000000 5.21
Baroda Pioneer Liquid Fund - Reg (Div-D) 297.49 3000000000 5.21
Baroda Pioneer Liquid Fund - Plan B - Dir (Div-W) 297.49 3000000000 5.21
Baroda Pioneer Liquid Fund - Plan A (Div-M) 297.49 3000000000 5.21
Baroda Pioneer Liquid Fund - Reg (G) 297.49 3000000000 5.21
Baroda Pioneer Liquid Fund - Plan B - Dir (Bonus) 297.49 3000000000 5.21
Baroda Pioneer Liquid Fund - Reg (D) 297.49 3000000000 5.21
Baroda Pioneer Liquid Fund - Plan B - Dir (Div-D) 297.49 3000000000 5.21
Baroda Pioneer Liquid Fund - Plan B - Dir (G) 297.49 3000000000 5.21
Union Capital Protect Fund-Sr.VII - Dir (D) 25.84 250000000 7.78
Union Capital Protect Fund-Sr.VII (G) 25.84 250000000 7.78
Union Capital Protect Fund-Sr.VII (D) 25.84 250000000 7.78
Union Capital Protect Fund-Sr.VII - Dir (G) 25.84 250000000 7.78
Union Capital Protect Fund-Sr.VI - Dir (D) 10.09 100000000 8.97
Union Dynamic Bond Fund - Direct (D) 10.13 100000000 3.22
Union Capital Protect Fund-Sr.VI - Dir (Div-Swp 10.09 100000000 8.97
Union Dynamic Bond Fund (D) 10.13 100000000 3.22