Mutual Fund Holdings


Container Corporation Of India Ltd
BSE Code 531344 ISIN Demat INE111A01025 Book Value (₹) 167.36 Div & Yield % 1.81 Market Cap ( Cr.) 38,747.31 P/E * 30.26 EPS * 16.81 Face Value (₹) 5
* Profit to Earning Ratio
* Earning Per Share
Scheme Name Amount Invested ( Cr.) % Net Assets Total NAV ( Cr.)
Mirae Asset Large & Midcap Fund 412.81 0.95 43,542.34
Nippon India Multi Cap Fund 357.92 0.72 50,048.31
Mirae Asset Midcap Fund 325.80 1.77 18,379.88
Nippon India Growth Mid Cap Fund 267.65 0.64 42,041.60
ICICI Pru Balanced Advantage Fund 241.73 0.35 69,867.93
Invesco India Arbitrage Fund 227.06 0.82 27,561.97
Kotak Arbitrage Fund 206.93 0.28 72,773.54
Tata Arbitrage Fund 186.61 0.93 20,154.23
Kotak Multicap Fund 178.94 0.80 22,281.34
ICICI Pru Equity - Arbitrage Fund 165.65 0.51 32,622.53