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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
32.14
39901.16
EPS(TTM)
Face Value()
Div & Yield %
16.3
5
0.84
 

As on: Aug 18, 2026 07:07 PM

Scheme Name Inv Date Amount Invested
( in Cr)
Net Assets(%) Total NAV
( in Cr)
Mirae Asset Large & Midcap Fund 31-Jul-26 605.44 1.34 45275.31
ICICI Pru Large Cap Fund 31-Jul-26 446.35 0.55 80960.34
Nippon India Multi Cap Fund 31-Jul-26 367.89 0.66 55587.00
Mirae Asset Midcap Fund 31-Jul-26 334.88 1.65 20267.63
ICICI Pru Balanced Advantage Fund 31-Jul-26 301.96 0.41 74555.42
Nippon India Growth Mid Cap Fund 31-Jul-26 275.11 0.54 50750.81
DSP Large & Mid Cap Fund 31-Jul-26 232.24 1.27 18231.38
Kotak Arbitrage Fund 31-Jul-26 211.65 0.28 74398.69
Invesco India Arbitrage Fund 31-Jul-26 192.27 0.65 29629.15
ICICI Pru Infrastructure Fund 31-Jul-26 185.56 2.18 8522.87
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