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Shriram City Union Finance Ltd.

BSE: 532498 Sector: Financials
NSE: SHRIRAMCIT ISIN Code: INE722A01011
BSE 00:00 | 14 Aug 2006.50 55.85
(2.86%)
OPEN

1967.00

HIGH

2050.00

LOW

1967.00

NSE 00:00 | 14 Aug 2009.50 55.75
(2.85%)
OPEN

1934.00

HIGH

2059.80

LOW

1934.00

OPEN 1967.00
PREVIOUS CLOSE 1950.65
VOLUME 1792
52-Week high 2454.05
52-Week low 1801.00
P/E 18.90
Mkt Cap.(Rs cr) 13,237
Buy Price 0.00
Buy Qty 0.00
Sell Price 0.00
Sell Qty 0.00
OPEN 1967.00
CLOSE 1950.65
VOLUME 1792
52-Week high 2454.05
52-Week low 1801.00
P/E 18.90
Mkt Cap.(Rs cr) 13,237
Buy Price 0.00
Buy Qty 0.00
Sell Price 0.00
Sell Qty 0.00

Shriram City Union Finance Ltd. (SHRIRAMCIT) - Mutual Fund Holding

Stocks attracting Fund Managers
SCHEME Amount Invested (Rs cr) No of shares Net Asset (%)
UTI-Treasury Advantage Fund (G) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund (Div-Q) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund (Div-A) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund (Bonus) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst (Bonus) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund (Periodic Div) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst (G) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund (Flexi Div) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst (Div-W) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst (Div-D) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst (Div-M) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund (Div-M) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst (Div-Q) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst - Direct (G) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst - Direct(Div-D) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst - Direct(Div-M) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst - Direct(Div-W) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst - Direct(Div-Q) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst - Direct(Bonus) 138.15 1450000000 1.27
UTI-Treasury Advantage Fund - Inst (Flexi) 138.15 1450000000 1.27