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Rakesh Jhunjhunwala and Associates's Portfolio

Stocks based on shareholding data filed with Exchanges

32,108 Cr. Networth
29 #Company holdings
Sector wise breakup of holdings
  • Miscellaneous 10%
  • Finance - General 7%
  • Construction & Contracting - Civil 7%
  • Banks - Private Sector 7%
  • Construction & Contracting - Real Estate 7%
  • Pharmaceuticals 7%
  • Pesticides & Agro Chemicals 3%
  • Software 3%
  • Auto Ancillaries 3%
  • Auto - LCVs & HCVs 3%
  • Hotels 3%
  • Computers - Software - Training 3%
  • Diversified 3%
  • Cement - Major 3%
  • Trading 3%
  • Footwear 3%
  • Banks - Public Sector 3%
  • Infrastructure - General 3%
  • Edible Oils & Solvent Extraction 3%
  • Telecommunications - Service 3%
  • Hospitals & Medical Services 3%
Fresh Entry & Exit in Portfolio
Qtr: Dec-2022
Sell
Investor holds below 1%
Qtr: Dec-2022
Purchase
Shares Qty 1,678,000 % Holding 4.31 %
Qtr: Dec-2022
Sell
Investor holds below 1%
Qtr: Dec-2022
Sell
Investor holds below 1%
Change in holdings from last quarter
Stock Name Dec-2022 Sept-2022 Increase
Rallis India Ltd. 10.3% 9.36% 0.94%
Federal Bank Ltd. 3.48% 2.63% 0.85%
Geojit Financial Services Ltd. 8.38% 7.54% 0.84%
Canara Bank 2.07% 1.48% 0.59%
Tata Motors Ltd. 1.57% 1.11% 0.46%
NCC Ltd. 13.09% 12.64% 0.45%
Karur Vysya Bank Ltd. 4.74% 4.37% 0.37%
Tata Communications Ltd. 1.79% 1.61% 0.18%
Edelweiss Financial Services Ltd. 1.52% 1.5% 0.02%
Stock Name Dec-2022 Sept-2022 Decrease
Dishman Carbogen Amcis Ltd. 1.63% 3.18% 1.55%
Titan Company Ltd. 5.17% 5.54% 0.37%
Fortis Healthcare Ltd. 4.46% 4.66% 0.2%
Star Health and Allied Insurance Company Ltd. 17.32% 17.42% 0.1%
Metro Brands Ltd. 14.4% 14.43% 0.03%
Nazara Technologies Ltd. 10% 10.02% 0.02%
Aptech Ltd. 43.76% 43.78% 0.02%
Indian Hotels Company Ltd. 2.11% 2.12% 0.01%