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JK Cement Ltd.
May 02 BSE 5149.30 (+ 27.30 0.53%)
Volume1393
Prev. Close 5122.00
Open Price 5005.70
Today's Low / High
5005.70 5185.00
B. Price (Qty.)0.00 (0)
O. Price (Qty.) 0.00 (0)
52 Wk Low / High 3639.15
5322.95
May 02 NSE 5162.00(+ 49.30 0.96%)
Volume64480
Prev. Close 5112.70
Open Price 5107.00
Today's Low / High
5103.50 5188.00
B. Price (Qty.)0.00 (0)
O. Price (Qty.) 0.00 (0)
52 Wk Low / High
3642.00 5323.00
ISIN No INE823G01014 Market Cap. ( in Cr. ) 39885.87 P/BV 7.22 Book Value ( ) 715.16
BSE Code 532644 52 Week High/Low ( ) 5323/3642 FV/ML 10/1 P/E(X) 50.44
NSE Code JKCEMENTEQ Book Closure 19/07/2024 EPS ( ) 102.35 Div Yield (%) 0.39
Scheme NameScheme TypeHolding DateValue ( Rs. Cr )Holding (%)
Kotak Emerging Equity Fund - Regular Pl...Open Ended 31/03/20251251.822.60
Axis Midcap Fund Open Ended 31/01/2025534.931.88
Kotak Equity Opportunities Fund - Regul...Open Ended 31/03/2025419.281.68
DSP Mid Cap Fund Open Ended 31/03/2025384.452.23
SBI Magnum Midcap Fund Open Ended 31/01/2025374.001.77
PGIM India Midcap Opportunities Fund Open Ended 31/03/2025270.362.62
Kotak Small Cap Fund - Regular Plan Open Ended 31/03/2025249.051.59
Franklin India Prima Fund Open Ended 31/03/2025218.391.91
Canara Robeco Emerging Equities Open Ended 31/03/2025213.550.92
Invesco India Mid Cap Fund Open Ended 31/03/2025212.713.68
Canara Robeco Flexi Cap Fund Open Ended 31/03/2025195.881.61
Sundaram Mid Cap Fund Open Ended 31/03/2025189.801.67
UTI Mid Cap Fund Open Ended 31/03/2025185.441.74
ICICI Prudential Multicap Fund Open Ended 31/03/2025178.811.28
Invesco India Large & Mid Cap Fund Open Ended 31/03/2025173.402.70
Canara Robeco Equity Hybrid Fund Open Ended 31/03/2025158.581.53
Edelweiss Mid Cap Fund Open Ended 31/03/2025149.261.73
Nippon India Growth Fund Open Ended 31/03/2025149.200.45
Aditya Birla Sun Life Equity Advantage ...Open Ended 31/03/2025145.032.68
Nippon India Multi Cap Fund Open Ended 31/03/2025123.320.32
PGIM India Flexi Cap Fund Open Ended 31/03/2025113.661.90
Aditya Birla Sun Life Multi-Cap Fund Open Ended 31/03/2025109.011.85
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