Products & Services
Markets
Contact Us
Become a Partner
Blog
Open Account
Sign In
Online Trading
Online Backoffice
Client Dashboard
New
Online IPO
Online Mutual Fund
E-Voting NSDL
Web Mail
Open Account
Sign In
Online Trading
Online Backoffice
Client Dashboard
New
Online IPO
Online Mutual Fund
E-Voting NSDL
Web Mail
Products & Services
Markets
Contact Us
Become a Partner
Blog
Reach out to us on
0120-4918900
Or
Get a call back
Click here
Markets
Company Info
Equity
IPO
Company Info
Derivatives
News
Announcements
Mutual Fund
Insurance
Share Price
Live Quotes
Company Profile
Board of Directors
Income Statement
Balance Sheet
Ratio Analysis
Cash Flow
Annual Results
Quarterly Results
Half Yearly Results
Shareholding
Change Name
MF Holding
Locations
Board Meetings
Corporate News
Investors Return
Ratio Analysis
Cash Flow
Annual Results
Quarterly Results
Half Yearly Results
Shareholding
Change Name
MF Holding
Locations
Board Meetings
Corporate News
Investors Return
MF HOLDING
You can view latest mutual fund holdings of the company.
GK Energy Ltd.
GO
Jan 29
BSE
112.10
( -2.85 -2.48%)
Volume
35924
Prev. Close
114.95
Open Price
117.10
Today's Low / High
110.25
117.10
Bid. Price (Qty.)
0.00 (0)
Offer Price (Qty.)
0.00 (0)
52 Wk Low / High
110.25
239.45
Jan 29
NSE
111.79
( -3.15 -2.74%)
Volume
685292
Prev. Close
114.94
Open Price
118.00
Today's Low / High
110.10
118.00
Bid Price (Qty.)
0.00 (0)
Offer Price (Qty.)
0.00 (0)
52 Wk Low / High
110.10
239.60
ISIN No
INE1AG301022
Market Cap. (
in Cr. )
2267.29
P/BV
2.91
Book Value (
)
38.47
BSE Code
544525
52 Week High/Low (
)
240/110
FV/ML
2/1
P/E(X)
17.02
NSE Code
GKENERGYEQ
Book Closure
EPS (
)
6.57
Div Yield (%)
0.00
Scheme Name
Scheme Type
Holding Date
Value (
Rs.
Cr
)
Holding (%)
HSBC Flexi Cap Fund
Open Ended
31/12/2025
46.84
0.90
360 ONE FlexiCap Fund
Open Ended
31/12/2025
32.58
1.56
Edelweiss Recently Listed IPO Fund
Open Ended
31/12/2025
4.12
0.43
Bandhan Small Cap Fund
Open Ended
31/12/2025
3.59
0.02
360 ONE Balanced Hybrid Fund
Open Ended
15/01/2026
3.21
0.39
Edelweiss Equity Savings Fund
Open Ended
31/12/2025
1.82
0.16
360 ONE Multi Asset Allocation Fund
Open Ended
31/12/2025
1.37
0.48