Transport Services

Container Corporation of India Limited

ISIN: INE111A01025 · Data as of Aug 2026
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Active Funds Holding
67
vs Last Month
+8 funds
Total Value
₹3,660.78 Cr
Avg Weight
1.18%
New Entries
18
Exits
10
ℹ️ Index funds and ETFs are excluded. Only actively managed funds reflect genuine fund manager decisions.
Mid Cap Rank #234
₹38.71 K Cr
Avg Mkt Cap · Jan-Jun 2023 (3yr ago)
₹37.25 K Cr
Avg Mkt Cap · Jan-Jun 2026 (latest)
-3.8%
3yr change
SEBI · AMFI Market Cap List
📋 What Changed This Month Container Corporation of India Limited is currently held by 67 active mutual funds with total exposure of ₹3,660.78 Cr. This month 18 funds entered and 10 funds exited. quant PSU Fund - Growth Option - Direct Plan has the highest allocation at 9.83%. ↓ Scroll down for full fund list and monthly changes.
Trend

How Has Fund Coverage Changed — Last 5 Months?

Month Funds AUM (Cr) AMCs Status
Aug 2026 REFERENCE 67 ₹3,661 48 / 49
Jul 2026 59 ₹4,411 49 / 49 ✅ Complete
Jun 2026 53 ₹4,073 49 / 49 ✅ Complete
May 2026 57 ₹4,023 49 / 49 ✅ Complete
Apr 2026 57 ₹4,182 49 / 49 ✅ Complete

📌 Portfolio changes below are based on Aug 2026 data — the most complete month with 48 AMCs we cover uploaded.

This Month

What Changed in the Portfolio — Aug 2026?

Note: Index funds and ETFs are excluded from this analysis. Their holdings change due to index rebalancing, not active fund manager decisions, and do not reflect genuine conviction buys or exits.

By Category

Which Fund Categories Hold This Stock?

Category Funds Avg Weight Distribution
Equity 24 1.61%
Mid Cap 11 1.2%
Multi Cap 7 0.8%
Multi Asset 5 0.55%
Value/Contra 4 1.42%
Balanced Advantage 4 0.23%
ELSS 3 1.57%
Flexi Cap 3 1.07%
Small Cap 3 1.1%
Large Cap 1 0.54%
Aggressive Hybrid 1 0.49%
Dividend Yield 1 0.18%
All Holdings

Which 67 Active Funds Hold Container Corporation of India Limited?

Filter:
Fund ↕ Category ↕ Weight ↕ Value ↕ Change ↕
quant PSU Fund - Growth Option - Direct Plan
Quant Mutual Fund
Equity 9.83% ₹42.38 Cr NEW
Invesco India PSU Equity Fund
Invesco Mutual Fund
Equity 4.37% ₹63.33 Cr NEW
SBI PSU Fund - DIRECT PLAN - GROWTH
SBI Mutual Fund
Equity 3.97% ₹266.19 Cr +2.86%
the Quantum Value Fund
Quantum Mutual Fund
Value/Contra 3.33% ₹37.35 Cr -0.03%
the Quantum ELSS Tax Saver Fund
Quantum Mutual Fund
ELSS 3.31% ₹6.95 Cr -0.03%
BANK OF INDIA Large & Mid Cap Fund Direct Plan-Growth
Bank of India Mutual Fund
Mid Cap 2.05% ₹10.86 Cr NEW
Bank of India Multi Cap Fund Direct Plan - Growth
Bank of India Mutual Fund
Multi Cap 2.02% ₹27.03 Cr NEW
the Quantum Multi Asset Allocation Fund
Quantum Mutual Fund
Multi Asset 1.99% ₹1.18 Cr -0.08%
The Wealth Company Large & Mid Cap Fund
The Wealth Company Mutual Fund
Mid Cap 1.88% ₹2.10 Cr -0.24%
THE WEALTH COMPANY FLEXI CAP FUND
The Wealth Company Mutual Fund
Flexi Cap 1.84% ₹4.61 Cr +0.25%
SBI Long Term Advantage Fund - Series IV - Direct Plan - Growth
SBI Mutual Fund
Equity 1.82% ₹3.57 Cr NEW
quant Mid Cap Fund - Growth Option - Direct Plan
Quant Mutual Fund
Mid Cap 1.8% ₹144.81 Cr NEW
Nippon India Active Momentum Fund-Direct Plan - Growth Option
Nippon India Mutual Fund
Equity 1.72% ₹9.75 Cr -0.26%
BANDHAN TRANSPORTATION AND LOGISTICS FUND - GROWTH - DIRECT PLAN
Bandhan Mutual Fund
Equity 1.66% ₹12.80 Cr +0.24%
Mirae Asset Infrastructure Fund - Direct Plan - Growth
Mirae Asset Mutual Fund
Equity 1.56% ₹7.61 Cr -0.12%
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Data source: Official AMFI monthly portfolio disclosures. Updated every month. Index funds and ETFs excluded. Disclaimer: This is not investment advice. Consult a SEBI-registered advisor before investing.