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MF Holdings  
Container Corporation Of India Ltd.
 
BSE Code 531344
ISIN Demat INE111A01025
Book Value(Rs.) 165.86
NSE Code CONCOR
Dividend Yield % 0.70
Market Cap(Rs. in millions) 298645.62
P/E 25.82
EPS 18.98
Face Value(Rs.) 5  
Scheme NameMarket Val (In Crs.)AUM(In Crs.)Hold Percentage
ICICI Pru Value Discovery Fund(G) 296.44 16187.19 1.83
Kotak Standard Multicap Fund(G) 273.00 21718.09 1.26
HDFC Equity Fund(G) 196.96 20837.07 0.95
ICICI Pru Bluechip Fund(G) 179.92 20114.8 0.89
ICICI Pru Balanced Advantage Fund(G) 154.48 29291.59 0.53
HDFC Balanced Advantage Fund(G) 150.03 38502.45 0.39
HDFC Top 100 Fund(G) 81.84 15264.21 0.54
UTI Transportation & Logistics Fund-Reg(D) 79.65 1506.64 5.29
IDFC Multi Cap Fund-Reg(G) 68.77 5356.99 1.28
UTI Value Opp Fund-Reg(G) 64.22 4373.51 1.47
UTI Mastershare-Reg(D) 61.62 5570.19 1.11
UTI Mid Cap Fund-Reg(D) 50.37 3782.92 1.33
IDFC Infrastructure Fund-Reg(G) 43.60 944.45 4.62
Motilal Oswal Focused 25 Fund-Reg(G) 39.99 1096.54 3.65
UTI Infrastructure Fund-Reg(D) 37.82 1329.47 2.85
L&T Equity Fund-Reg(G) 32.89 2652.98 1.24
L&T Infrastructure Fund-Reg(G) 30.78 1931.23 1.59
UTI Focussed Equity Fund-V(G) 30.64 577.33 5.31
Principal Emerging Bluechip Fund(G) 25.33 2054.33 1.23
L&T Tax Advt Fund-Reg(G) 25.24 3208.19 0.79
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