Shares
Name
Last
High
Low
Chg
Chg%
Volume
Time
SBI 454.10 471.90 450.35 -9.60 -2.07% 41.52M
Reliance Industries 2,390.55 2,455.85 2,375.60 -37.65 -1.55% 16.09M
Tata Motors 308.60 315.35 306.00 -3.05 -0.98% 24.96M
ITC 231.15 237.30 229.10 +0.40 +0.17% 79.43M
Infosys 1,691.30 1,718.00 1,684.45 -10.95 -0.64% 7.45M
Tata Steel Ltd 1,385.90 1,440.30 1,360.00 -50.85 -3.54% 19.57M
Wipro 665.25 674.40 662.75 -2.60 -0.39% 5.40M
Tata Consultancy 3,827.85 3,945.00 3,805.00 -75.45 -1.93% 6.47M
Bharti Airtel 728.15 734.75 721.00 +9.55 +1.33% 26.15M
HDFC Bank 1,582.15 1,589.00 1,559.20 +22.20 +1.42% 10.25M
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Name
Last
High
Low
Chg%
Chg
Time
BSE Sensex 59,015.89 59,737.32 58,871.73 -0.21% -125.27
Nifty 50 17,585.15 17,792.95 17,537.65 -0.25% -44.35
Nifty Midcap 150 11,223.50 11,440.55 11,159.80 -1.31% -149.25
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Name
Month
Last
High
Low
Chg
Chg%
Time
NCDEX Jeera Sep 21 14,160.00 14,400.00 14,150.00 -440.00 -3.01%
NCDEX Coriander Sep 21 7,798.00 7,800.00 7,750.00 +58.00 +0.75%
NCDEX Guar Gum Sep 21 9,628.00 9,833.00 9,628.00 -614.00 -5.99%
NCDEX Soybean Sep 21 9,050.00 9,075.00 8,731.00 +160.00 +1.80%
MCX Gold 1 Kg Oct 21 45,939 46,239 45,853 -137 -0.30%
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Symbol
USD
EUR
GBP
JPY
CHF
CAD
AUD
USD
1 0.8515 0.7267 110.04 0.9301 1.2701 1.3728
EUR
1.1744 1 0.8534 129.23 1.0922 1.4913 1.6123
GBP
1.3761 1.1717 1 151.42 1.2799 1.7477 1.8891
JPY
0.908800 0.77380 0.00661 1 0.8452 0.01155 0.01247
CHF
1.0752 0.9155 0.7814 118.31 1 1.3656 1.4761
CAD
0.7874 0.6707 0.5722 86.64 0.7322 1 1.0810
AUD
0.7284 0.6202 0.5293 80.15 0.6775 0.9251 1
Please try another search
Name
Symbol
Last
Chg%
Volume
Time
Nippon India Gold BeES GBES 40.20 -0.79% 7.04M
Goldman Sachs Nifty BeES NBES 189.98 -0.08% 45.66K
Goldman Sachs Nifty BeES NBES 189.95 -0.14% 1.22M
Goldman Sachs Liquid BeES LBES 1,000.00 0.00% 1.30M
Goldman Sachs Junior BeES JBES 452.75 -0.55% 81.13K
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Name
Symbol
Last
Chg%
Total Assets
Time
HDFC Liquid Fund Premium Plan Daily Dividend Reinv 0P00005V0A 1,225.980 0.00% 634.23B
HDFC Liquid Fund Premium Plan Growth 0P00005V0B 3,764.091 +0.02% 634.23B
HDFC Liquid Fund Monthly Dividend Payout 0P00005V08 1,027.737 +0.01% 544.5B
HDFC Liquid Fund Daily Dividend Reinvestment 0P00005V07 1,019.820 0.00% 544.5B
HDFC Liquid Fund Growth 0P00005V09 4,077.166 +0.01% 544.5B
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