 Antony Waste Handling Cell Ltd Q2 FY2026 consolidated net profit down QoQ to Rs. 13.65 crores
Antony Waste Handling Cell Ltd Q2 FY2026 consolidated net profit down QoQ to Rs. 13.65 crores Eiko Lifesciences Ltd Q2FY26 consolidated PAT increases to Rs. 1.07 crore
Eiko Lifesciences Ltd Q2FY26 consolidated PAT increases to Rs. 1.07 crore LG Balakrishnan and Bros Ltd Q2 FY2026 consolidated net profit soars to Rs. 93.62 crores
LG Balakrishnan and Bros Ltd Q2 FY2026 consolidated net profit soars to Rs. 93.62 crores Mahindra Holidays and Resorts India Ltd posts higher consolidated PAT of Rs. 17.85 crores in Q2FY26
Mahindra Holidays and Resorts India Ltd posts higher consolidated PAT of Rs. 17.85 crores in Q2FY26 Balkrishna Industries Ltd consolidated Q2FY26 PAT falls to Rs. 273.19 crores
Balkrishna Industries Ltd consolidated Q2FY26 PAT falls to Rs. 273.19 crores 
              Mumbai, January 8, 2008: ING Domestic Opportunities Fund, an open-ended equity scheme from ING Investment Management India, has been accorded with a 5-Star rating, the highest rating by the leading mutual fund research outfit Value Research, for consistent performance and low volatility. The fund was one of the chosen funds which were awarded five stars from Value Research out of 92 funds. The fund has an excellent track record and is one of the few schemes that have an uninterrupted track record of growth right since inception.
The fund has Assets under Management (AUM) of Rs 133.06 crore as of December 31, 2007. The primary objective of the Scheme is to seek to provide long-term capital appreciation from a portfolio that is primarily invested in companies, which derive a significant proportion of their revenues from the domestic Indian market place / economy. The top 10 scrips include Reliance Industries Ltd., Larsen & Toubro Ltd., ICICI Bank Ltd., Sadbhav Engineering, Reliance Communications Ltd, ITC Ltd., SBI, Bharti Airtel, Reliance Capital and Grasim Industries Ltd.
Returns for the period % change in NAV % change in Benchmark I month 11.45% 7.41% 6 months 45.86% 46.66% 1 year 59.95% 59.34% 3 years 50.52% 46.05% Inception 56.52% 50.76%As of 31st December, 2007. Returns for the period less than 1 year – Absolute. Returns for the period 1 year & above – CAGR. Benchmark; BSE-100