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Latest Aarti Singal Portfolio and Shareholdings

Aarti Singal appears in public shareholding disclosures with a reported equity portfolio valued at ₹2.27 cr. Her holdings span a small group of listed companies across finance, trading, and operating businesses. Because the portfolio is compact, each position carries visible weight, allowing observers to track allocation changes, continuity, and ownership patterns across quarterly filings. This article reviews her portfolio structure, strategy signals, and the factors that seem to shape stock selection.

Latest Aarti Singal Stock Portfolio & Holdings (2026)

Aarti Singal Portfolio Stock Screener

Aarti Singal Portfolio Stock Screener: Analyse & Filter Indian Stocks on Tickertape

Showing 1 - 6 of 6 results

last updated at 9:45 PM IST 
NameStocks (6)Sub-SectorSub-SectorMarket CapMarket CapClose PriceClose PricePE RatioPE Ratio1D Return1D Return1M Return1M Return6M Return6M Return1Y Return1Y ReturnPB RatioPB RatioReturn on EquityReturn on EquityROCEROCEDividend YieldDiv YieldDebt to EquityDebt to EquityVolatility vs NiftyVolatility vs Nifty
1.Dalmia Industrial Development LtdDIDLApparel & AccessoriesApparel & Accessories21.3621.367.997.99213.61213.61-0.62-0.62-18.05-18.05-6.77-6.77-51.90-51.901.031.030.480.480.680.68--0.000.004.724.72
2.Greencrest Financial Services LtdGREENCRESTDiversified FinancialsDiversified Financials18.6418.640.510.5115.4115.410.000.000.000.00-21.54-21.54-29.17-29.170.340.342.222.221.971.97--0.820.821.611.61
3.Blue Chip India LtdBLUECHIPAsset ManagementAsset Management14.7114.712.662.66-5.66-5.66-1.85-1.8515.1515.15-38.43-38.43-60.42-60.42-21.32-21.32-388.06-388.06382.35382.35----2.122.12
4.Mukta Agriculture LtdMUKTACommodities TradingCommodities Trading6.186.182.852.85-38.62-38.628.788.78-1.72-1.72-5.00-5.00-17.15-17.150.280.28-0.72-0.72-0.76-0.76--0.000.005.295.29
5.Mystic Electronics LtdMYSTICELEElectronic EquipmentsElectronic Equipments6.076.073.073.075.895.89-2.54-2.54-12.71-12.71-15.89-15.89-25.30-25.300.210.213.673.673.843.84--0.000.004.524.52
6.Voltaire Leasing and Finance LtdVOLLFSpecialized FinanceSpecialized Finance4.974.9712.0612.06-62.08-62.081.941.941.941.943.343.340.750.750.280.28-0.45-0.45-0.39-0.39--0.000.002.102.10

Disclaimer: Please note that the above table is for informational purposes only, and is not recommendatory. Please do your own research or consult your financial advisor before investing. The data is derived from Tickertape Stock Screener and is subject to real-time updates.

Selection criteria: The table contains publicly disclosed Aarti Singal investment portfolio as on 10th February 2026. Stocks are sorted by market capitalisation, highest to lowest.

Aarti Singal’s Bulk and Block Deals

Bulk and block deals improve market transparency and explain sharp changes in stock volumes. These disclosures help observers track where significant shareholders deploy capital, how participation evolves over time, and whether holdings shift meaningfully across reporting periods. Analysts and data platforms often review such deals to identify patterns in large transactions and investor behaviour.


Here’s how you can find the latest bulk and block deals involving Aarti Singal:

  • Open Market Movers
  • Under Party, type Aarti Singal
  • Select the relevant Category and Transaction Type

  • The results display publicly reported bulk and block transactions linked to her name. You can also use date filters to compare activity across different quarters and to identify any sizeable entries or exits over time.

    Investor Profile – Aarti Singal

    Aarti Singal is an individual investor whose name appears in publicly disclosed shareholding data of select listed companies in India. She holds measurable stakes in a portfolio of stocks that are tracked through quarterly filings, making her visible to market data platforms and observers that monitor insider and institutional participation.

    1. Name: Aarti Singal
    2. Profession: Equity investor (individual shareholder)
    3. Market experience: Visible through regular disclosure filings
    4. Portfolio footprint: Includes holdings in multiple listed companies with combined disclosed value in the cr.-rupee range
    5. Public profile: Tracked via shareholding tables rather than through corporate leadership roles
    6. Investor type: Retail/individual participant with identifiable stakes

    Aarti Singal’s portfolio provides insight into her public shareholding patterns, which observers often analyse for trends in ownership concentration and changes over reporting periods. Her equity stakes, while not among the largest marquee portfolios, contribute to a diversified set of holdings visible across sectors in the Indian markets.

    Top Stocks in Aarti Singal Portfolio (2026)

    Premier Capital Services

    Premier Capital Services operates in financial and investment activities. The company participates in capital market transactions, advisory work, and securities linked opportunities. Its business model connects to funding needs, investment deployment, and financial structuring within the broader market ecosystem.

    Mystic Electronics

    Mystic Electronics runs electronics trading and related commercial operations. The company handles sourcing, distribution, and supply of electronic goods and connects manufacturing channels with market demand.

    Dalmia Industrial Development

    Dalmia Industrial Development engages in property and industrial development. The company manages land resources, project assets, and development activities that create value through utilisation, leasing, or sale within selected geographies.

    Greencrest Financial Services

    Greencrest Financial Services functions as a financial services participant. The company undertakes lending, investments, and market linked activities and allocates capital across opportunities in both listed and unlisted spaces.

    Mukta Agriculture

    Mukta Agriculture operates in agriculture and allied commercial activities. The company takes part in cultivation, trading, and distribution of agri related products and links farm output with supply channels and end markets.

    Aarti Singal Portfolio Composition

    Here are the active stocks publicly held by Aarti Singal as of February 2026:

    Stock Name Holding Value (in Lakh) Shares Held Dec 2025 Change (%) Dec 2025 Holding (%) Sep 2025 Holding (%)
    Premier Capital Services Ltd 96.7 1,116,800 0 3.00% 3.00%
    Mystic Electronics Ltd 32 1,000,000 0 5.10% 5.10%
    Dalmia Industrial Development Ltd 28.2 300,000 0 1.50% 1.50%
    Greencrest Financial Services Ltd 25.7 4,506,231 0 1.20% 1.20%
    Mukta Agriculture Ltd 23.4 900,000 0 4.20% 4.20%
    Blue Chip India Ltd 15.7 600,000 0 1.10% 1.10%
    Voltaire Leasing and Finance Ltd 6.2 55,380 0 1.30% 1.30%

    How to Invest in Aarti Singal Portfolio Stocks?

    Here's how you can invest in Aarti Singal portfolio stocks using Tickertape -

    1. Create an account on the Tickertape or log in if you already have one.
    2. Open Aarti Singal Portfolio Screener
    3. Filter stocks based on 200+ parameters. Tickertape provides comprehensive data on each stock, including financials, performance metrics, future projections, red flags, and more. You can review this data to assess each company's financial health and potential in depth.
    4. Once you've decided on a stock, you can place a buy order through your brokerage account linked to Tickertape.

    You can stay updated with each of your favourite stocks' alerts and announcements with Tickertape Alerts. Further, you can analyse your overall portfolio and potential red flags in it by connecting it to Tickertape. Check out the detailed analysis of your portfolio now!

    What is the Net Worth of Aarti Singal?

    Aarti Singal’s total disclosed equity net worth stands at ₹2.27 cr., based on the most recent shareholding data and prevailing market prices. Because valuations change with market movements and companies update ownership every quarter, this figure can vary in future disclosures.

    Aarti Singal's Investment Strategy

    Financial businesses

    A noticeable share of the portfolio sits in companies linked to lending, advisory, or securities markets. These businesses respond to capital flows, deal activity, and investor participation. This exposure shows familiarity with financial statements, transaction cycles, and market infrastructure.

    Asset-driven plays

    Real estate and investment style companies often draw value from land parcels, projects, or financial holdings. Observers watch construction progress, approvals, and monetisation milestones to understand how narratives evolve.

    Specialised themes

    The portfolio prefers companies operating in focused areas such as railway or infrastructure execution rather than broad conglomerates. Developments in orders, tenders, or sector activity become important reference points.

    Visible ownership

    Many companies fall within smaller market capitalisation ranges. This structure lets the investor build stakes that stand out in public shareholding tables and makes movements easier to track.

    Sector mix

    Finance linked entities hold strong representation while real estate and engineering add breadth. Different industries respond to different economic triggers, which reduces dependence on one revenue environment.

    Learnings from the Aarti Singal Portfolio in 2026

    Familiar territory often drives decisions

    Investors usually allocate capital where they understand operating mechanics. The repeated presence of financial or market oriented firms shows comfort in interpreting leverage, funding structures, and deal pipelines.

    Asset events matter

    In asset heavy businesses, valuation discussions can change when projects move from planning to execution or sale. Observers therefore monitor these operational milestones.

    Portfolio size shapes visibility

    With fewer companies, each investment attracts attention. A change in one holding can alter the overall allocation.

    Diversification still appears intentional

    Themes may repeat, yet exposure to unrelated industries lowers the risk that one slowdown defines the entire portfolio.

    Disclosures create a tracking framework

    Shareholding data appears regularly. Anyone can compare periods and see whether participation increases, reduces, or stays steady.

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    Factors Affecting Stock Selection in the Aarti Singal Portfolio

    Market linkage

    Several holdings operate in businesses tied to capital raising, lending activity, or securities markets. Revenue often moves with deal flow, investor participation, and financial sentiment. An observer familiar with corporate finance and funding structures can track these drivers through public data such as volumes, mandates, or balance sheet movement.

    Asset backing

    Real estate developers and investment style firms often own physical property, land reserves, or financial portfolios. Observers evaluate what the company owns, how it may use those assets, and whether monetisation timelines change. Announcements on project progress or divestments usually attract attention.

    Policy and project flow

    Infrastructure operators depend on contracts, approvals, and execution pipelines. When industry activity expands or institutional spending rises, market participants revisit these names because order visibility can change quickly. External developments therefore shape the context.

    Ownership visibility

    In smaller companies, even a moderate investment can become a meaningful equity share. This makes the investor visible in shareholding tables and helps analysts detect small quarterly changes.

    Liquidity through listing

    Exchange listing brings transparent pricing and the ability to transact. Trading volumes may differ from large blue chip counters, yet daily price discovery still provides reference points for valuation and portfolio measurement.

    Information availability

    Listed companies release results, filings, and corporate updates at regular intervals. This steady flow allows observers to track revenue, assets, and liabilities and evaluate holdings over time.

    Conclusion

    Aarti Singal’s disclosed investments highlight participation in smaller listed firms where ownership becomes easy to identify in shareholding tables. The limited number of holdings makes quarterly movements more noticeable, while cross-sector exposure prevents the portfolio from depending on a single industry trend.

    Investors and researchers often use platforms like Tickertape to follow such public disclosures, compare changes across periods, and understand how allocations evolve over time.

    Frequently Asked Questions About the Aarti Singal Portfolio

    1. Who is Aarti Singal?

      Aarti Singal is an Indian equity investor. She appears in the shareholding patterns of select listed companies, and market participants track her ownership through quarterly disclosures.

    2. Which sector does Aarti Singal invest in?

      She invests across financial services, trading-linked businesses, and diversified operating segments. Observers read exchange filings to understand where her exposure sits.

    3. What is Aarti Singal’s current net worth?

      Her disclosed portfolio stands at ₹2.27 cr, calculated from recent shareholding information and market prices. The value changes when prices move or companies release new data.

    4. What is Aarti Singal’s investment strategy?

      She keeps a compact portfolio, which makes shifts in allocation easier to identify. Analysts evaluate her strategy by tracking stake levels from one quarter to the next.

    5. What are the learning from Aarti Singal’s investment portfolio?

      Her holdings show how smaller pools of capital can still cover multiple industries. Observers use continuity and percentage movement to interpret participation.