NSEUpdates3 Jul 2026 · 3 Jul 2026, 04:41 pm
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Container Corporation of India Limited · CONCOR
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Container Corporation of India Ltd has received a disclosure from ICICI Prudential Asset Management Company Limited regarding a net acquisition of 44,06,207 shares of the company, exceeding 5% of the paid-up capital.
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Full Announcement
Container Corporation Of India Limited has informed the Exchange regarding 'Disclosures made by Shareholder of CONCOR.'.
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CONCOR
Container Corporation of India Ltd.
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SE/ 104/ Vol-VII/ A Multi-modal Logistics Company
~: 03.07.2026 (A Navratna CPSE of Govt. of India)
1. The Bombay Stock Exchange Ltd., Mumbai (Through BSE Listing Centre)
Phiroze Jeejeebhoy Towers, Dalal Street
Mumbai-400001
2. National Stock Exchange of India Ltd. (Through NEAPS)
Exchange Plaza, 5th Floor, Plot No. C/ 1,G Block
Bandra-Kurla Complex, Bandra (E)
Mumbai-400 051
Sub: Disclosures made by Shareholder of CONCOR.
Container Corporation of India Ltd. is in receipt of a disclosure from one of its
shareholder M/s ICICI Prudential Asset Management Company Limited under
Regulation 29(1) SEBI (Substantial Acquisition of Shares and Takeover) Regulations,
2011. The same is being forwarded for your information.
This is for your kind information and record.
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Regd. Office : CONCOR Bhawan, C-3, Mathura Road, New Delhi-110076
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I E-mail: co-pro@concorindia.com \.._~•MANAS Visit us at: http://\vww.concorindia.co.in
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ISO 9001 REGISTERED
ASSET MANAGEMENT
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July 01, 2026
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Container Corporation of India Ltd.
CONCOR Bhawan,
C-3, Mathura Road,
Opposite Apollo Hospital,
New Delhi -110076
Sub: Securities and Exchange Board of India (Substantial Acquisition of Shares and
Takeovers) Regulations 2011
Dear Sir/Madam,
This is to inform you that ICICI Prudential Mutual Fund (the Fund) including iSIF under its various
schemes/investment strategies holds equity shares of your company.
In this regard, kindly note that the schemes/investment strategies of the Fund have done net
acquisition of 44,06,207 shares of your company on June 30, 2026. As a result, the shareholding
of the Fund has exceeded 5% of the paid-up capital of your company.
The holding by schemes/investment strategies of the Fund are from an investment perspective
and not with the objective of seeking any controlling interest. However, the disclosures in this
regard as required under Regulation 29(1) of the SEBI (Substantial Acquisition of Shares and
Takeovers) Regulations, 2011 is enclosed herewith.
Please let us know if any disclosure is required under SEBI (Prohibition of Insider Trading)
Regulations, 2015. If you require any further information, please feel free to contact us.
A copy of this disclosure is also being filed with the stock exchanges.
Thank you.
For ICICI Prudential Asset Management Company Limited
.;.•·: .. ,
. "' Rakesh etty
Chief Compliance Officer & Company Secretacy
ICICI Prudential Asset Management Company Limited
Corporate Identity Number: L99999DL 1993PLC054135
Corporate Office: ICICI Prudential Mutual Fund Tower, Vakola, Santacruz East, Mumbai - 400055 Tel: +91 22 6647 0200/2652 5000 Fax: +91
22 6666 6582/83, website: www.icicipruamc.com, email id:enquiry@icicipruamc.com
Central Service Office: 2nd Floor, Block B-2, Nirlon Knowledge Park, Western Express Highway, Mumbai -400063.
Tel: 022 2685 2000 Fax: 022 26868313
ICICI
ASSET MANAGEMENT
Format for Disclosure under Regulation 29(1) of SEBI (Substantial Acquisition of Shares and
Takeovers) Regulations, 2011
PART - A- Details of the Acquisition
Name of the Target Company {TC) Container Corporation of India Ltd.
Name(s) of the acquirer/Seller and ICICI Prudential Mutual Fund
Person Acting in Concert (PAC) with
the acquirer
Whether the acquirer/Seller belongs No
to Promoter/Promoter group
Name(s) of the Stock Exchange(s) BSE Limited, National Stock Exchange of India Limited
where the shares of TC are Listed
Details of the acquisition/disposal as Number % w.r.t. total % w.r.t. total
follows shares /voting diluted share/
capital wherever voting capital of
applicable the TC
Before the acquisition under
consideration, holding of acquirer
along with PACs of:
a) Shares carrying voting rights 3,55,36,806 4.6660 4.6660
b) Shares in the nature of
encumbrance (pledge/lien/non-
disposal undertaking/others)
c) Voting rights (VR) otherwise
than by equity shares
d) Warrants/convertible
securities/any other instrument
that entitles the acquirer to
receive shares carrying voting
rights in the TC (specify holding
in each category)
e) Total (a+b+c+d) 3,55,36,806 4.6660 4.6660
Details of acquisition (Net)
a) Shares carrying voting rights 44,06,207 0.5785 0.5785
acquired.
b) VRs acquired otherwise than by
equity shares
c) Warrants/convertible securities/
any other instrument that entitles
the acquirer to receive shares
carrying voting rights in the TC
(specify holding in each
category} acquired
d) Shares in the nature of
encumbrance (pledge/lien/non-
disposal undertaking/others}
e) Total (a+b+c+d) 44,06,207 0.5785 0.5785
ICICI Prudential Asset Management Company Limited
Corporate Identity Number: L99999DL 1993PLC054135
Corporate Office: ICICI Prudential Mutual Fund Tower, Vakola, Santacruz East, Mumbai - 400055 Tel: +91 22 6647 0200/2652 5000 Fax: +91
22 6666 6582/83, website: www.icicipruamc.com, email id:enquiry@icicipruamc.com
Central Service Office: 2nd Floor, Block B-2, Nirlon Knowledge Park, Western Express Highway, Mumbai -400063.
Tel: 022 2685 2000 Fax: 022 26868313 ~ ..
ICICI
ASSET MANAGEMENT
After the acquisition, holding of
acquirer along with PACs of:
a) Shares carrying voting rights 3,99,43,013 5.2445 5.2445
b) Shares in the nature of
encumbrance (pledge/lien/non
disposal undertaking/others)
Shares pledged with the acquirer
c) VRs otherwi?e than by equity
shares
d) Warrants/convertible
securities/any other instrument
that entitles the acquirer to
receive shares carrying voting
rights in the TC {specify holding
in each category) after
acquisition
e) Total {a+b+c+d) 3,99,43,013 5.2445 5.2445
{Note: the percentages have been
rounded off to the nearest number)
Mode of purchase (e.g. open
market/public issue/rights Open Market
issue/preferential allotment/inters
transfer/encumbrance, etc.)
Salient features of the securities
acquired including time till
redemption, ratio at which it can be N.A.
converted into equity shares, etc.
Date of purchase of/date of receipt
of intimation of allotment of
sharesNR/warrants/convertible
securities/any other instrument that June 30, 2026
entitles the acquirer/seller to receive
shares in the TC.
Equity share capital/total voting
={ 3,80,80,89,675 comprising of 76,16,17,935 shares of
capital of the TC before the said
face value ={5/- each
acquisition
Equity share capital/total voting
={ 3,80,80,89,675 comprising of 76,16,17,935 shares of
capital of the TC after the said
face value ={5/- each
acquisition
Total diluted share/voting capital of ={ 3,80,80,89,675 comprising of 76,16,17,935 shares of
the TC after the said acquisition face value ={5/- each
ICICI Prudential Asset Management Company Limited
Corporate Identity Number: L99999DL 1993PLC054135 ~.
Corporate Office: ICICI Prudential Mutual Fund Tower, Vakola, Santacruz East, Mumbai - 400055 Tel: +91 22 6647 0200/2652 5000 Fax: +91
22 6666 6582/83, website: www.icicipruamc.com, email id:enquiry@icicipruamc.com
Central Service Office: 2nd Floor, Block B-2, Nirlon Knowledge Park, Western Express Highway, Mumbai -400063.
Tel: 022 2685 2000 Fax: 022 26868313
/CIC/
ASSET MANACEMENT
Part-8
Name of Target Company: Container Corporation of India Ltd.
Whether the
Name{s) of the acquirer and PAN of the
acquirer belongs
Persons Acting in Concert acquirer and/ or
to Promoter/
{PAC) with the acquirer PACs
Promoter group
ICICI Prudential Mutual Fund No AAAAI0038F
Note. -
Total share capital/ voting capital and diluted share/voting capital to be taken as per the latest filing
done by the Company to the sto
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