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Gujarat Fluorochemicals Ltd.
Mar 11, 04:01 BSE 3251.00 ( -42.80 -1.30%)
Volume1707
Prev. Close 3293.80
Open Price 3292.70
Today's Low / High
3207.70 3292.70
B. Price (Qty.)0.00 (0)
O. Price (Qty.) 0.00 (0)
52 Wk Low / High 2917.00
4097.60
Mar 11, 03:51 NSE 3245.60( -49.80 -1.51%)
Volume35839
Prev. Close 3295.40
Open Price 3295.40
Today's Low / High
3211.10 3300.00
B. Price (Qty.)0.00 (0)
O. Price (Qty.) 3245.60 (96)
52 Wk Low / High
2916.60 4083.55
ISIN No INE09N301011 Market Cap. ( in Cr. ) 35652.92 P/BV 4.62 Book Value ( ) 702.68
BSE Code 542812 52 Week High/Low ( ) 4084/2917 FV/ML 1/1 P/E(X) 65.29
NSE Code FLUOROCHEMEQ Book Closure 22/09/2025 EPS ( ) 49.71 Div Yield (%) 0.00
Scheme NameScheme TypeHolding DateValue ( Rs. Cr )Holding (%)
HDFC Mid Cap Fund - Regular Plan Open Ended 31/01/2026423.400.46
Motilal Oswal Large and Midcap Fund Open Ended 31/01/2026381.712.61
Mirae Asset Large & Midcap Fund Open Ended 31/01/2026291.120.69
DSP Mid Cap Fund Open Ended 31/01/2026185.540.97
Nippon India Growth Mid Cap Fund Open Ended 31/01/2026184.740.44
Mirae Asset Focused Fund Open Ended 31/01/2026174.212.40
Mirae Asset Large Cap Fund Open Ended 31/01/2026146.920.36
DSP Large & Mid Cap Fund Open Ended 31/01/2026146.360.84
Axis Small Cap Fund Open Ended 31/01/2026141.750.56
Motilal Oswal ELSS Tax Saver Fund Open Ended 31/01/2026122.142.92
DSP ELSS Tax Saver Fund Open Ended 31/01/2026109.250.63
DSP Flexi Cap Fund Open Ended 31/01/2026107.870.90
Mirae Asset Midcap Fund Open Ended 31/01/202697.500.55
DSP Aggressive Hybrid Fund Open Ended 31/01/202674.930.63
HDFC Large and Mid Cap Fund - Regular P...Open Ended 31/01/202652.160.18
Nippon India Vision Large & Mid Cap...Open Ended 31/01/202651.300.76
Mirae Asset ELSS Tax Saver Fund Open Ended 31/01/202651.080.20
Aditya Birla Sun Life Midcap Fund Open Ended 31/01/202631.980.53
Mirae Asset Multicap Fund Open Ended 31/01/202626.890.58
ICICI Prudential Multicap Fund Open Ended 31/01/202622.990.15
ICICI Prudential MidCap Fund Open Ended 31/01/202615.450.22
Motilal Oswal Manufacturing Fund Open Ended 31/01/202613.512.02
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