DSPBLACK SFDP DIVR, INF740K01OM7 ISIN Database

DSP BLACKROCK INVEST MANAGRS PVT LTD #DSP BLACKROCK MF-TAX SAVER FUND-DIRECT PLAN-DIV RINV

 ISIN INF740K01OM7 DSPBLACK SFDP DIVR
 Address   DSP BLACKROCK INVESTMENT MANAGERS PRIVATE LIMITED - TAX SAVER FUND MAFATLAL CENTRE 10TH FLOOR NARIMAN POINT MUMBAI MAHARASHTRA INDIA-400021
 Contact person   MR. PRITESH MAJMUDAR MAFATLAL CENTRE 10TH FLOOR NARIMAN POINT MUMBAI MAHARASHTRA INDIA-400021ROC-AC-CO-TEL-FAX-EML-04022011
 Email id   ramamoorthy.rajagopal@dspblackrock.com, dspbrim.taoperations@dspblackrock.com
 Fax no   022-66578181
 Freeze reason   N/A
 Isin listing status   Listed
 Isin price   12.9300
 Isin status   Active
 Listed   Listed
 Listing status   Listed
 Nominal   10.0000
 Paid up value   10.0000
 Rta - electronic (name & address)   COMPUTER AGE MANAGEMENT SERVICES LTD RAYALA TOWERS, 5TH FLOOR DP UNIT, 158 ANNA SALAI CHENNAI TAMIL NADU INDIA-600002
 Rta - physical (name & address)   DSPBLACK SFDP DIVR MAFATLAL CENTRE 10TH FLOOR NARIMAN POINT MUMBAI MAHARASHTRA INDIA-400021
 Security type   Open Ended Mutual Funds
 Security type description   Open Ended Mutual Funds
 Tel. no   022-66578000

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Similar type ISIN


Isin Name, Description Nominal
 INF740K01011 DSPBLACK EQ RG DIV P
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK EQUITY FUND-REGULAR PLAN-DIV PAYOUT
10.0000 
 INF740K01029 DSPBLACK EQ RG DIV R
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK EQUITY FUND-REGULAR PLAN-DIV REINVEST
10.0000 
 INF740K01037 DSPBLACK EQ R GROWTH
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK EQUITY FUND-REGULAR PLAN-GROWTH
10.0000 
 INF740K01045 DSPBLACK NRNE R DV P
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-NATURAL RESOURCES AND NEW ENERGY FUND-REG PL-DIV POUT
10.0000 
 INF740K01052 DSPBLACK NRNE R DV R
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-NATURAL RESOURCES AND NEW ENERGY FUND-REG PL-DV RINV
10.0000 
 INF740K01060 DSPBLACK NRNE R GROW
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-NATURAL RESOURCES AND NEW ENERGY FUND-REG PLAN-GROW
10.0000 
 INF740K01078 DSPBLACK OPP R DIV P
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK OPPORTUNITIES FUND-REG PLAN-DIV PAYOUT
10.0000 
 INF740K01086 DSPBLACK OPP R DIV R
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK OPPORTUNITIES FUND-REGR PL-DIV REINVEST
10.0000 
 INF740K01094 DSPBLACK OPP R GROW
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK OPPORTUNITIES FUND-REGULAR PLAN-GROW
10.0000 
 INF740K01102 DSPBLACK SMC R DIV P
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK SMALL AND MID CAP FUND-REG PL-DIV PAYOUT
10.0000 
 INF740K01110 DSPBLACK SMC R DIV R
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK SMALL AND MID CAP FUND-REG PL-DIV REINVEST
10.0000 
 INF740K01128 DSPBLACK SMC R GROW
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK SMALL AND MID CAP FUND-REG PLAN-GROWTH
10.0000 
 INF740K01136 DSPBLACK TIGER R D-P
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK INDIA T.I.G.E.R. FUND-REG PL-DIV PAYOUT
10.0000 
 INF740K01144 DSPBLACK TIGER R D-R
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK INDIA T.I.G.E.R. FUND-REG PL-DIV REINVEST
10.0000 
 INF740K01151 DSPBLACK TIGER R GRW
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK INDIA T.I.G.E.R. FUND-REG PL-GROWTH
10.0000 
 INF740K01169 DSPBLACK TSF DV POUT
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK TAX SAVER FUND-DIVIDEND PAYOUT
10.0000 
 INF740K01177 DSPBLACK TSF DV RINV
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK TAX SAVER FUND-DIVIDEND REINVEST
10.0000 
 INF740K01185 DSPBLACK TSF GROWTH
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK TAX SAVER FUND - GROWTH
10.0000 
 INF740K01193 DSPBLACK TECH DIV P
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK TECHNOLOGY.COM FUND-REG PLAN-DIV PAYOUT
10.0000 
 INF740K01201 DSPBLACK TECH DIV R
DSP BLACKROCK INVESTMENT MANAGERS PVT LTD-DSP BLACKROCK TECHNOLOGY.COM FUND-REG PLAN-DIV REINVEST
10.0000 

Time: May 10, 2025, 12:15 p.m.
London time: May 10, 2025, 4:15 a.m.
NY time: May 9, 2025, 11:15 p.m.
Tokyo time: May 10, 2025, 12:15 p.m.


 
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