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EQUITY - MARKET SCREENER

Container Corporation Of India Ltd
Industry :  Miscellaneous
BSE Code
ISIN Demat
Book Value()
531344
INE111A01025
169.2412741
NSE Symbol
P/E(TTM)
Mar.Cap( Cr.)
CONCOR
28.33
34604.11
EPS(TTM)
Face Value()
Div & Yield %
16.04
5
0.97
 

As on: Jun 06, 2026 01:12 AM

Scheme Name Inv Date Amount Invested
( in Cr)
Net Assets(%) Total NAV
( in Cr)
Mirae Asset Large & Midcap Fund 30-Apr-26 586.26 1.38 42337.71
Nippon India Multi Cap Fund 30-Apr-26 356.24 0.68 52634.04
ICICI Pru Balanced Advantage Fund 30-Apr-26 352.50 0.50 70551.44
Mirae Asset Midcap Fund 30-Apr-26 324.27 1.76 18387.66
ICICI Pru Large & Mid Cap Fund 30-Apr-26 290.21 0.98 29757.23
Nippon India Growth Mid Cap Fund 30-Apr-26 266.40 0.58 45820.33
ICICI Pru Infrastructure Fund 30-Apr-26 248.58 2.99 8311.08
ICICI Pru Value Fund 30-Apr-26 234.09 0.39 59588.30
ICICI Pru Arbitrage Fund 30-Apr-26 220.01 0.68 32298.86
DSP Large & Mid Cap Fund 30-Apr-26 171.21 0.99 17330.95
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