ICICI Prudential Nifty Midcap 150 Index Fund
Container Corporation of India Ltd · NSE
1,06,576 sh · ₹4.77 Cr
ICICI Prudential Large Cap Fund
0.5% of their portfolio
₹380.10 Cr
84,93,750 sh
Nippon India Multi Cap Fund
0.5% of their portfolio
₹268.54 Cr
60,00,813 sh
SBI PSU Fund
4.0% of their portfolio
₹266.19 Cr
52,00,000 sh
ICICI Prudential Large & Mid Cap Fund
0.8% of their portfolio
₹251.00 Cr
52,81,356 sh
Nippon India Growth Mid Cap Fund
0.5% of their portfolio
₹234.28 Cr
52,35,275 sh
ICICI Prudential Value Fund
0.2% of their portfolio
₹150.60 Cr
28,65,849 sh
ICICI Prudential Infrastructure Fund
1.4% of their portfolio
₹115.77 Cr
25,87,047 sh
SBI Arbitrage Opportunities Fund
22.0% of their portfolio
₹102.83 Cr
20,08,750 sh
ICICI Prudential Arbitrage Fund
0.2% of their portfolio
₹88.55 Cr
19,78,750 sh
SBI Balanced Advantage Fund
17.0% of their portfolio
₹72.96 Cr
14,25,233 sh
Nippon India Power & Infra Fund
0.6% of their portfolio
₹47.44 Cr
10,60,000 sh
Nippon India Arbitrage Fund
0.3% of their portfolio
₹46.09 Cr
10,30,000 sh
FII holding ~flat QoQ
Jun 2026 quarter
Ownership by quarter
Promoter
— 0.0pp
ICICI Prudential Nifty Midcap 150 Index Fund
Container Corporation of India Ltd · NSE
1,06,576 sh · ₹4.77 Cr
Nippon India Retirement Fund - Wealth Creation Scheme
Container Corporation of India Ltd · NSE
6,00,000 sh · ₹26.85 Cr
Groww Mutual Fund (scheme IB31)
Container Corporation of India Ltd · NSE
2,60,531 sh · ₹11.66 Cr
Nippon India ETF Nifty Midcap 150
Container Corporation of India Ltd · NSE
3,26,379 sh · ₹14.61 Cr
Nippon India Multi Cap Fund
Container Corporation of India Ltd · NSE
60,00,813 sh · ₹268.54 Cr
Groww Mutual Fund (scheme IB53)
Container Corporation of India Ltd · NSE
514 sh · ₹2.30 L
Nippon India Arbitrage Fund
Container Corporation of India Ltd · NSE
10,30,000 sh · ₹46.09 Cr
Nippon India Growth Mid Cap Fund
Container Corporation of India Ltd · NSE
52,35,275 sh · ₹234.28 Cr
ICICI Prudential Large Cap Fund
Container Corporation of India Ltd · NSE
84,93,750 sh · ₹380.10 Cr
The announcements library is part of Pro.
Every exchange filing this company makes — results, board meetings, dividends, analyst meets, investor presentations — as filed with NSE / BSE, the day it lands.
84 announcements on record for this company.
Promoter holding by quarter: Jun 2025 54.8%, Sep 2025 54.8%, Dec 2025 54.8%, Mar 2026 54.8%. Dec 2024, Mar 2025: no filing.
FII
— −0.7pp
FII holding by quarter: Jun 2025 12.7%, Sep 2025 12.4%, Dec 2025 9.1%, Mar 2026 8.3%. Dec 2024, Mar 2025: no filing.
DII
— +1.1pp
DII holding by quarter: Jun 2025 26.1%, Sep 2025 25.8%, Dec 2025 28.7%, Mar 2026 29.8%. Dec 2024, Mar 2025: no filing.
MF
— +1.3pp
MF holding by quarter: Jun 2025 9.4%, Sep 2025 9.3%, Dec 2025 12.6%, Mar 2026 13.9%. Dec 2024, Mar 2025: no filing.
Per-series scale, bounds labeled. Gaps mark quarters without a filing.
ICICI Prudential Innovation Fund
Container Corporation of India Ltd · NSE
4,397 sh · ₹19.68 L
Ownership by quarter
Promoter
— 0.0pp
Promoter holding by quarter: Jun 2025 54.8%, Sep 2025 54.8%, Dec 2025 54.8%, Mar 2026 54.8%. Dec 2024, Mar 2025: no filing.
FII
— −0.7pp
FII holding by quarter: Jun 2025 12.7%, Sep 2025 12.4%, Dec 2025 9.1%, Mar 2026 8.3%. Dec 2024, Mar 2025: no filing.
DII
— +1.1pp
DII holding by quarter: Jun 2025 26.1%, Sep 2025 25.8%, Dec 2025 28.7%, Mar 2026 29.8%. Dec 2024, Mar 2025: no filing.
MF
— +1.3pp
MF holding by quarter: Jun 2025 9.4%, Sep 2025 9.3%, Dec 2025 12.6%, Mar 2026 13.9%. Dec 2024, Mar 2025: no filing.
Per-series scale, bounds labeled. Gaps mark quarters without a filing.
The announcements library is part of Pro.
Every exchange filing this company makes — results, board meetings, dividends, analyst meets, investor presentations — as filed with NSE / BSE, the day it lands.
84 announcements on record for this company.