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EQUITY - MARKET SCREENER

Container Corporation Of India Ltd
Industry :  Miscellaneous
BSE Code
ISIN Demat
Book Value()
531344
INE111A01025
167.3606723
NSE Symbol
P/E(TTM)
Mar.Cap( Cr.)
CONCOR
30.26
38301.77
EPS(TTM)
Face Value()
Div & Yield %
16.62
5
1.83
 

As on: Feb 22, 2026 04:13 PM

Scheme Name Inv Date Amount Invested
( in Cr)
Net Assets(%) Total NAV
( in Cr)
Mirae Asset Large & Midcap Fund 31-Jan-26 409.16 0.97 42274.93
Nippon India Multi Cap Fund 31-Jan-26 351.62 0.72 48808.64
Mirae Asset Midcap Fund 31-Jan-26 320.07 1.81 17659.12
Nippon India Growth Mid Cap Fund 31-Jan-26 262.94 0.63 41727.36
ICICI Pru Balanced Advantage Fund 31-Jan-26 260.89 0.37 70343.40
ICICI Pru Equity - Arbitrage Fund 31-Jan-26 180.87 0.55 32976.02
ICICI Pru Value Fund 31-Jan-26 178.69 0.30 60352.77
Nippon India Arbitrage Fund 31-Jan-26 171.71 1.05 16390.20
Tata Arbitrage Fund 31-Jan-26 170.83 0.83 20563.28
ICICI Pru Large & Mid Cap Fund 31-Jan-26 170.55 0.62 27444.64
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