LICMFGOLD

Lic Mf Gold Exchange Traded Fund Share Price LIC MF Gold Exchange Traded Fund

₹6,569.00
+40.7 (0.62%)
09 May, 2024 15:25 BSE: 533719 NSE: LICMFGOLDISIN: INF397L01554

Start SIP in LIC MF Gold Exchange Traded Fund

Start SIP

LIC MF Gold Exchange Traded Fund Performance

Day Range

  • Low 6,525
  • High 6,570
₹ 6,569

52 Week Range

  • Low 5,111
  • High 6,985
₹ 6,569
  • Open Price6,561
  • Previous Close6,528
  • Volume413

LIC MF Gold Exchange Traded Fund Share Price

  • Over 1 Month +1.51%
  • Over 3 Month +14.9%
  • Over 6 Month +19.03%
  • Over 1 Year +17.27%

LIC MF Gold Exchange Traded Fund Key Statistics

P/E Ratio
PEG Ratio
Market Cap Cr 0
Price to Book Ratio
EPS
Dividend
Relative Strength Index 54.62
Money Flow Index 48.89
MACD Signal 123.84
Average True Range 106.63
LIC MF Gold Exchange Traded Fund Financials
Indicator
Total Revenue Annual Cr
Operating Expenses Annual Cr
Operating Profit Annual in Cr
Depreciation Cr
Interest Annual Cr
Tax Annual Cr
Net Profit Annual Cr
Indicator
Cash from Operating Activity Annual Cr
Cash from Investing Activity Annual Cr
Cash from Financing Annual Activity Cr
Net Cash Flow Annual Cr
Indicator
Total ShareHolders Funds Annual Cr
Fixed Assets Annual Cr
Total Non Current Assets Annual Cr
Total Current Assets Annual Cr
Total Assets Annual Cr
Indicator
Book Value Per Share Annual Rs
ROE Annual %
ROCE Annual %
Total Debt to Total Equity Annual
EBDIT Annual Margin %
Indicator
Total Revenue Annual Cr
Operating Expenses Annual Cr
Operating Profit Annual in Cr
Depreciation Cr
Interest Annual Cr
Tax Annual Cr
Net Profit Annual Cr
Indicator
Cash from Operating Activity Annual Cr
Cash from Investing Activity Annual Cr
Cash from Financing Annual Activity Cr
Net Cash Flow Annual Cr
Indicator
Total ShareHolders Funds Annual Cr
Fixed Assets Annual Cr
Total Non Current Assets Annual Cr
Total Current Assets Annual Cr
Total Assets Annual Cr
Indicator
Book Value Per Share Annual Rs
ROE Annual %
ROCE Annual %
Total Debt to Total Equity Annual
EBDIT Annual Margin %

LIC MF Gold Exchange Traded Fund Technicals

EMA & SMA

Current Price
₹6,569.00
+40.7 (0.62%)
  • Bullish Moving Average
  • ___
  • 0
  • Bearish Moving Average
  • ___
  • 0
  • 20 Day
  • ₹6,527.52
  • 50 Day
  • ₹6,301.46
  • 100 Day
  • ₹6,064.38
  • 200 Day
  • ₹5,813.21
  • 20 Day
  • ₹6,605.63
  • 50 Day
  • ₹6,225.59
  • 100 Day
  • ₹5,965.09
  • 200 Day
  • ₹5,714.69

LIC MF Gold Exchange Traded Fund Resistance and Support

PIVOT
₹6,545.84
Resistance
First Resistance 6,571.67
Second Resistance 6,615.03
Third Resistance 6,640.87
RSI 54.62
MFI 48.89
MACD Single Line 123.84
MACD 86.40
Support
First Resistance 6,502.47
Second Resistance 6,476.63
Third Resistance 6,433.27

LIC MF Gold Exchange Traded Fund Delivery and Volume

Period NSE + BSE Volume Avg NSE + BSE Delivery Volume Avg NSE + BSE Delivery Volume %
Day 92 5,800 63.04
Week 287 21,299 74.11
1 Month 527 33,803 64.2
6 Month 298 20,865 70.1

LIC MF Gold Exchange Traded Fund Result Highlights

LIC MF Gold Exchange Traded Fund Synopsis

NSE-Finance-ETF / ETN

Market Cap 131
Sales
Shares in Float 0.00
No of funds
Yield
Book Value
U/D Vol ratio
LTDebt / Equity
Alpha
Beta

LIC MF Gold Exchange Traded Fund

Owner Name

LIC MF Gold Exchange Traded Fund Management

Name Designation

LIC MF Gold Exchange Traded Fund Forecast

Price Estimates

2,000(9.8%)
1,758(-3.5%)
1,590(-12.7%)

Other Analyst Rating

LIC MF Gold Exchange Traded Fund MF Shareholding

Name Amount(cr)

LIC MF Gold Exchange Traded Fund FAQs

What is Share Price of LIC MF Gold Exchange Traded Fund ?

LIC MF Gold Exchange Traded Fund share price is ₹6,569 As on 09 May, 2024 | 15:11

What is the Market Cap of LIC MF Gold Exchange Traded Fund ?

The Market Cap of LIC MF Gold Exchange Traded Fund is ₹ Cr As on 09 May, 2024 | 15:11

What is the P/E ratio of LIC MF Gold Exchange Traded Fund ?

The P/E ratio of LIC MF Gold Exchange Traded Fund is As on 09 May, 2024 | 15:11

What is the PB ratio of LIC MF Gold Exchange Traded Fund ?

The PB ratio of LIC MF Gold Exchange Traded Fund is As on 09 May, 2024 | 15:11

Q2FY23