Mutual Fund Holdings


Container Corporation Of India Ltd
BSE Code 531344 ISIN Demat INE111A01025 Book Value (₹) 190.54 NSE Symbol CONCOR Div & Yield % 1.07 Market Cap ( Cr.) 62,592.81 P/E * 51.49 EPS * 19.95 Face Value (₹) 5
* Profit to Earning Ratio
* Earning Per Share
Scheme Name Amount Invested ( Cr.) % Net Assets Total NAV ( Cr.)
Kotak Flexi Cap Fund 729.88 1.54 47,465.64
Nippon India Growth Fund 430.55 1.61 26,821.89
Quant Mid Cap Fund 389.41 5.63 6,920.17
Mirae Asset Large & Midcap Fund 344.19 0.98 34,974.46
Mirae Asset Midcap Fund 329.84 2.18 15,139.44
Aditya Birla SL ELSS Tax Saver Fund 280.32 1.82 15,384.10
ICICI Pru Balanced Advantage Fund 276.84 0.49 56,709.02
SBI Flexi Cap Fund 244.65 1.18 20,783.59
DSP Midcap Fund 244.53 1.43 17,079.09
Kotak Balanced Advantage Fund - Regular 193.80 1.22 15,844.02