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Tata Power Company Ltd.

BSE: 500400 Sector: Infrastructure
NSE: TATAPOWER ISIN Code: INE245A01021
BSE LIVE 15:54 | 18 Dec 91.00 -0.25
(-0.27%)
OPEN

90.00

HIGH

92.90

LOW

88.45

NSE 15:29 | 18 Dec 91.10 -0.10
(-0.11%)
OPEN

90.00

HIGH

93.05

LOW

88.30

OPEN 90.00
PREVIOUS CLOSE 91.25
VOLUME 6137225
52-Week high 97.05
52-Week low 72.60
P/E 44.39
Mkt Cap.(Rs cr) 24,614
Buy Price 91.00
Buy Qty 160.00
Sell Price 0.00
Sell Qty 0.00
OPEN 90.00
CLOSE 91.25
VOLUME 6137225
52-Week high 97.05
52-Week low 72.60
P/E 44.39
Mkt Cap.(Rs cr) 24,614
Buy Price 91.00
Buy Qty 160.00
Sell Price 0.00
Sell Qty 0.00

Tata Power Company Ltd. (TATAPOWER) - Mutual Fund Holding

Stocks attracting Fund Managers
SCHEME Amount Invested (Rs cr) No of shares Net Asset (%)
UTI-Treasury Advantage Fund - Inst - Direct (G) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst (Div-H) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund (Flexi Div) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund (Div-Q) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst - Direct(Div-F) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst (Div-F) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund (Div-A) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst (Div-W) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund (Bonus) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst - Direct(Div-H) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst (Div-D) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst - Direct(Div-D) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst - Direct(Flexi) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst (Div-M) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst - Direct(Div-M) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst - Direct(Div-A) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund (Div-M) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst (Div-Q) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund - Inst - Direct(Div-W) 493.42 5000000000 4.11
UTI-Treasury Advantage Fund (Periodic Div) 493.42 5000000000 4.11