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Ashish Kacholia's Portfolio

Stocks based on shareholding data filed with Exchanges

1,632 Cr. Networth
42 #Company holdings
Sector wise breakup of holdings
  • Miscellaneous 7%
  • Packaging 5%
  • Food Processing 5%
  • Pharmaceuticals 5%
  • Retail 2%
  • Electric Equipment 2%
  • Trading 2%
  • Diamond Cutting & Jewellery & Precious Metals 2%
  • Printing & Stationery 2%
  • Transport & Logistics 2%
  • Computers - Hardware 2%
  • Computers - Software - Training 2%
  • Glass & Glass Products 2%
  • Domestic Appliances 2%
  • Consumer Food 2%
  • Metals - Non Ferrous 2%
  • Finance - General 2%
  • Speciality Chemicals 2%
  • Computers - Software Medium & Small 2%
  • Electrodes & Graphite 2%
  • Hospital & Healthcare Services 2%
  • Consumer Goods - Electronic 2%
  • Infrastructure 2%
Fresh Entry & Exit in Portfolio
Qtr: Dec-2022
Purchase

Shares Qty 1,102,527 % Holding 1.01 %
Qtr: Dec-2022
Purchase

Shares Qty 794,000 % Holding 2.01 %
Qtr: Dec-2022
Sell

Investor holds below 1%
Change in holdings from last quarter
Stock Name Dec-2022 Sept-2022 Increase
3.82% 2.57% 1.25%
2.25% 1.46% 0.79%
4.43% 3.84% 0.59%
2.22% 1.86% 0.36%
4.38% 4.22% 0.16%
2.08% 1.96% 0.12%
1.13% 1.04% 0.09%
4.45% 4.4% 0.05%
4% 3.98% 0.02%
1.88% 1.87% 0.01%
Stock Name Dec-2022 Sept-2022 Decrease
2.11% 3.34% 1.23%