| Name | Last | Change | Change % | Volume | Year Range |
|---|---|---|---|---|---|
0P0001FUAU IDFC Fixed Term Plan Series 176 Regular Growth | - | - | - | - | |
0P0000XW9P HSBC Regular Savings Fund Direct Monthly Dividend Payout | 17.43 | -0.01 | -0.0436% | 0 | |
0P0001BB55 Nippon India Quant Fund Dividend Reinvestment | 38.14 | +0.41 | +1.0833% | 0 | |
0P0000KYO8 Invesco India Money Market Fund Regular Growth | 2,861.14 | +0.53 | +0.0186% | 0 | |
0P0001FEVZ Nomura 6-Y Ladder Mat Em Mrkt Bd TWD | - | - | - | - | |
0P000175WF Axis Children's Gift Regular Lock in Dividend Payout | 25.55 | +0.23 | +0.9087% | 0 | |
0P0001B9QN BNP Paribas Long Term Equity Fund Direct Plan Dividend Reinvestment Option | 29.02 | -0.09 | -0.3222% | 0 | |
0P0001J08J HSBC Ultra Short Duration Fund Growth | 1,452.27 | +0.31 | +0.0215% | 0 | |
0P00006ABF Nomura Global Balanced Portfolio Fund | 30.62 | +0.26 | +0.8564% | 0 | |
0P0001J6ZW ICICI Prudential India Equity F | 24.38 | -0.07 | -0.3018% | 0 | |
0P0001NSKG Mirae Asset Hang Seng TECH ETF Fund of Fund Regular Growth | 11.9 | -0.13 | -1.0559% | 0 | |
0P00001VL3 BNP Paribas Funds Japan Small Cap X-Capitalisation | 53,010 | -957 | -1.7733% | 0 | |
0P0001FVA6 Aditya Birla Sun Life Retirement Fund - The 40s Plan Regular Dividend Reinvestment | 19.67 | -0.05 | -0.2738% | 0 | |
0P0001N2RI SBI Balanced Advantage Fund Regular Reinvestment Inc Dist cum Cap Wdrl | 16.05 | -0 | -0.0069% | 0 | |
0P0000909H BlackRock Global Funds - US Basic Value Fund X2 USD | 255.51 | +2.05 | +0.8088% | 0 | |
0P0001DDMY Nippon India Fixed Horizon Fund XXXVII Series 9 Regular Dividend | - | - | - | - | |
0P0001B9O3 Aditya Birla Sun Life Government Securities Fund Dividend Reinvestment Direct Plan | 11.42 | +0.04 | +0.3834% | 0 | |
0P0001J52R HSBC Global Investment Funds - Multi-Asset Style Factors XCHJPY | 11,009.04 | +38.8 | +0.3537% | 0 | |
0P0001BBEB Tata Short Term Bond Fund Regular Dividend Reinvestment | 22.84 | +0.01 | +0.0328% | 0 | |
0P0001JABS Candriam Equities L Oncology Impact I JPY Dis | 39,632 | +218 | +0.5531% | 0 | |
0P0000VVF5 Amundi Funds - Volatility World A SGD Hgd (C) | 74.12 | +0.15 | +0.2028% | 0 | |
0P0001FDDC SBI Debt Fund Series C 34 Direct Dividend | - | - | - | - | |
SPREME.R Supreme Distribution Public Company Limited - Non-Voting Depository Receipt | 1.51 | +0.01 | +0.6667% | 1.21M | |
3046 ChinaAMC Ether ETF | 4.4 | +0.01 | +0.2735% | 134.9K | |
3009 Bosera HashKey Ether ETF | 14.36 | +0.03 | +0.2094% | 444.5K | |
9439 Harvest Bitcoin Spot ETF | 1.02 | +0.01 | +1.3917% | 100 | |
3042 ChinaAMC Bitcoin ETF | 7.82 | +0.04 | +0.4499% | 214.9K | |
9179 Harvest Ether Spot ETF | 0.58 | +0.01 | +1.0526% | 100 | |
3008 Bosera Hashkey Bitcoin ETF | 4.91 | +0.01 | +0.1633% | 16K | |
00945B KGI US Premium Select High Yield Bond ETF | 14.65 | -0.04 | -0.2723% | 7.02M | |
9008 Bosera Hashkey BTC ETF | 0.63 | -0.01 | -1.5674% | 0 | |
347850 D&D Pharmatech Inc. | 61,400 | -300 | -0.4862% | 759.93K | |
550090 New Horizons N2 Month Leverage Fund | - | - | - | - | |
550087 Nh N2 Dvp Country 1st Etn 87 | 11,715 | +270 | +2.3591% | 1 | |
550088 NH N2 Monthly Leverage Development Fund | 23,700 | +180 | +0.7653% | 2 | |
550089 NH N2 Monthly Leveraged Fund | 144,630 | +7,035 | +5.1128% | 61 | |
159310 TH CSI Chip Industry ETF | 2.95 | +0.02 | +0.5457% | 6.28M | |
561760 BSCSI Oil & Gas Resources ETF | 1.32 | +0.01 | +0.6112% | 4.27M | |
089291 MediaTek Inc. Warrant | 0.05 | -0.12 | -70.5882% | 116K | |
SPINNEYS Spinneys 1961 Holding Plc | 1.27 | +0.02 | +1.6% | 1.14M | |
560690 PH CSI Telecommunications Exchange-Traded Fund | 2.25 | +0.05 | +2.4168% | 1.29M | |
IBI.F126 IBI SAL 4A S&P Health CC-Hedged Mutual Fund | 5,025 | +4 | +0.0797% | 60 | |
00946 CP Tip Custom TW Technology High Dividend Growth Fund | 15.63 | +0.2 | +1.2962% | 2.41M | |
IBI.F14 IBI Israel Bond Mutual Fund | 409.09 | -0.02 | -0.0049% | 22K | |
IBI.F181 IBI SAL 4D NASDAQ 100 Fund | 7,087 | +24 | +0.3398% | 250 | |
IBI.F65 IBI Sal 4D S&P 500 Mutual Fund | 22,790 | -70 | -0.3062% | 2.81K | |
IBI.F22 IBI SAL 00 TEL Mutual Fund | 4,334 | -3.46 | -0.0798% | 8.78K | |
IBI.F35 I.B.I. Israel Balanced Institutional Mutual Fund | 7,591 | +114 | +1.5247% | 80.8K | |
IBI.F42 IBI Mutual Fund Sal 4A TA-125 IL | 3,953 | +28 | +0.7134% | 79.26K | |
00944 Nomura Taiwan Multi-Market High Dividend ETF | 21.17 | +0.18 | +0.8576% | 12.72K | |