Equity Analysis

MF Holdings
    Container Corporation Of India Ltd
    Industry :  Miscellaneous
    BSE Code
    ISIN Demat
    Book Value()
    531344
    INE111A01025
    193.8691408
    NSE Symbol
    P/E(TTM)
    Mar.Cap( Cr.)
    CONCOR
    53.61
    66275.99
    EPS(TTM)
    Face Value()
    Div & Yield %:
    20.29
    5
    1.06
     
As on: May 19, 2024 12:18 AM
Scheme Name Inv Date Amount Invested ( in Cr) Net Assets(%) Total NAV ( in Cr)
Kotak Flexi Cap Fund 30-Apr-24 729.88 1.54 47465.64
Nippon India Growth Fund 30-Apr-24 430.55 1.61 26821.89
Quant Mid Cap Fund 30-Apr-24 389.41 5.63 6920.17
Mirae Asset Large & Midcap Fund 30-Apr-24 344.19 0.98 34974.46
Mirae Asset Midcap Fund 30-Apr-24 329.84 2.18 15139.44
Aditya Birla SL ELSS Tax Saver Fund 30-Apr-24 280.32 1.82 15384.10
ICICI Pru Balanced Advantage Fund 30-Apr-24 276.84 0.49 56709.02
SBI Flexi Cap Fund 30-Apr-24 244.65 1.18 20783.59
DSP Midcap Fund 30-Apr-24 244.53 1.43 17079.09
Kotak Balanced Advantage Fund - Regular 30-Apr-24 193.80 1.22 15844.02
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