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Billionbrains Garage Ventures Ltd.
Apr 02 BSE 164.80 (+ 3.40 2.11%)
Volume1131449
Prev. Close 161.40
Open Price 157.05
Today's Low / High
156.50 165.30
B. Price (Qty.)0.00 (0)
O. Price (Qty.) 0.00 (0)
52 Wk Low / High 112.02
193.91
Apr 02 NSE 164.82(+ 3.27 2.02%)
Volume24459457
Prev. Close 161.55
Open Price 157.48
Today's Low / High
156.50 165.40
B. Price (Qty.)0.00 (0)
O. Price (Qty.) 0.00 (0)
52 Wk Low / High
112.00 193.80
ISIN No INE0HOQ01053 Market Cap. ( in Cr. ) 103411.37 P/BV 12.99 Book Value ( ) 12.69
BSE Code 544603 52 Week High/Low ( ) 194/112 FV/ML 2/1 P/E(X) 56.69
NSE Code GROWWEQ Book Closure EPS ( ) 2.91 Div Yield (%) 0.00
Scheme NameScheme TypeHolding DateValue ( Rs. Cr )Holding (%)
SBI Multi Asset Allocation Fund Open Ended 15/03/202614577.950.14
Motilal Oswal Midcap Fund Open Ended 28/02/20261035.263.07
Motilal Oswal Large and Midcap Fund Open Ended 28/02/2026631.354.20
Kotak Flexicap Fund - Regular Plan Open Ended 28/02/2026408.720.72
HSBC Midcap Fund Open Ended 28/02/2026355.772.86
Nippon India Multi Cap Fund Open Ended 28/02/2026261.560.51
HDFC Balanced Advantage Fund - Regular ...Open Ended 28/02/2026188.190.17
Motilal Oswal ELSS Tax Saver Fund Open Ended 28/02/2026178.884.29
HDFC Mid Cap Fund - Regular Plan Open Ended 28/02/2026165.930.18
Franklin India Mid Cap Fund Open Ended 28/02/2026143.671.17
HSBC Large & Mid Cap Fund Open Ended 28/02/2026140.963.00
HDFC Large Cap Fund - Regular Plan Open Ended 28/02/202694.430.24
Axis Midcap Fund Open Ended 28/02/202679.220.25
Motilal Oswal Multi Cap Fund Open Ended 28/02/202677.651.97
HDFC Banking & Financial Services F...Open Ended 28/02/202676.781.70
Aditya Birla Sun Life Banking and Finan...Open Ended 28/02/202660.061.63
Aditya Birla Sun Life Midcap Fund Open Ended 28/02/202657.790.94
HSBC Multi Asset Allocation Fund Open Ended 28/02/202656.442.03
Sundaram Mid Cap Fund Open Ended 28/02/202651.480.39
Sundaram Aggressive Hybrid Fund Open Ended 28/02/202649.440.61
Axis Innovation Fund Open Ended 28/02/202647.744.26
Tata Digital India Fund Open Ended 28/02/202647.410.48
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