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Ashish Kacholia's Portfolio

Stocks based on shareholding data filed with Exchanges

1,752 Cr. Networth
36 #Company holdings
Sector wise breakup of holdings
  • Pharmaceuticals 8%
  • Packaging 6%
  • Electric Equipment 6%
  • Glass & Glass Products 6%
  • Chemicals 6%
  • Electrodes & Graphite 3%
  • Trading 3%
  • Computers - Software Medium & Small 3%
  • Printing & Stationery 3%
  • Miscellaneous 3%
  • Consumer Goods - Electronic 3%
  • Plastics 3%
  • Transport & Logistics 3%
  • Speciality Chemicals 3%
  • Domestic Appliances 3%
  • Metals - Non Ferrous 3%
  • Food Processing 3%
  • Finance - General 3%
  • Textiles - Spinning - Cotton Blended 3%
  • Computers - Software - Training 3%
  • Computers - Software 3%
  • Consumer Food 3%
  • Retail 3%
Fresh Entry & Exit in Portfolio
Qtr: June-2022
Purchase

Shares Qty 308,000 % Holding 4.21 %
Qtr: June-2022
Purchase

Shares Qty 409,094 % Holding 1.05 %
Qtr: June-2022
Sell

Investor holds below 1%
Qtr: June-2022
Purchase

Shares Qty 457,962 % Holding 3.6 %
Change in holdings from last quarter
Stock Name June-2022 Mar-2022 Increase
1.81% 1.35% 0.46%
5.04% 4.66% 0.38%
1.42% 1.05% 0.37%
3.89% 3.57% 0.32%
2.81% 2.63% 0.18%
1.93% 1.84% 0.09%
2.6% 2.55% 0.05%
1.97% 1.95% 0.02%
Stock Name June-2022 Mar-2022 Decrease
1.89% 3.09% 1.2%
3.38% 4.19% 0.81%
1.83% 2% 0.17%
1.04% 1.09% 0.05%
1.9% 1.95% 0.05%
3.74% 3.75% 0.01%
Sections