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Latest Akash Bhanshali Shareholdings and Portfolio

Akash Bhanshali is an Indian stock market investor and Head of Principal Investments at ENAM Holdings Pvt. Ltd. As of 2026, Akash Bhanshali’s portfolio shows 15 active stocks out of 17 holdings, with a disclosed market value of over ₹6,047.57 cr. The article highlights his stock preferences, changes in the recent quarter, net worth movement, and the strategy shaping capital allocation.

Latest Akash Bhansali Stock Portfolio & Holdings (2026)

Akash Bhanshali Portfolio Stock Screener

Akash Bhanshali Portfolio Stock Screener: Analyse & Filter Indian Stocks on Tickertape

Showing 1 - 18 of 18 results

last updated at 6:30 AM IST 
NameStocks (18)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.One 97 Communications LtdPAYTMOnline ServicesOnline Services71,839.9371,839.931,098.301,098.30-109.06-109.06-2.18-2.18-4.20-4.20-10.77-10.7751.3751.374.794.79-4.66-4.66-4.11-4.11--0.010.012.952.95
2.Laurus Labs LtdLAURUSLABSPharmaceuticalsPharmaceuticals58,992.8358,992.831,075.801,075.80164.64164.64-1.55-1.554.404.4024.8024.8098.1298.1212.8212.828.228.2212.0812.080.110.110.600.602.402.40
3.Gujarat Fluorochemicals LtdFLUOROCHEMSpecialty ChemicalsSpecialty Chemicals37,882.8737,882.873,483.303,483.3069.3769.371.011.0112.9512.951.831.83-6.01-6.015.195.198.258.2510.6410.640.090.090.290.292.302.30
4.Amber Enterprises India LtdAMBERHome Electronics & AppliancesHome Electronics & Appliances27,950.9827,950.987,974.007,974.00114.76114.760.400.4043.7443.749.939.9334.0334.0312.1012.1011.0111.0114.9514.95--0.890.893.133.13
5.Schneider Electric Infrastructure LtdSCHNEIDERHeavy Electrical EquipmentsHeavy Electrical Equipments21,475.1321,475.13906.45906.4580.1680.160.920.9250.2750.275.075.0741.1341.1328.7328.7344.1144.1135.4735.47--0.450.453.453.45
6.Natco Pharma LtdNATCOPHARMPharmaceuticalsPharmaceuticals17,412.1717,412.17988.50988.509.249.241.681.6819.3319.3313.9913.9924.0724.072.292.2928.0028.0030.1230.120.620.620.040.042.862.86
7.Inox Wind LtdINOXWINDHeavy Electrical EquipmentsHeavy Electrical Equipments16,324.9316,324.9392.1392.1336.4236.42-2.47-2.47-11.32-11.32-32.75-32.75-40.24-40.242.912.9110.0610.0612.3512.35--0.270.272.972.97
8.Welspun Living LtdWELSPUNLIVTextilesTextiles12,083.2712,083.27125.33125.3318.9018.90-0.88-0.881.691.6910.9610.9611.8911.892.462.4613.4113.4115.3615.361.351.350.560.564.114.11
9.Ramkrishna Forgings LtdRKFORGERailRail9,867.669,867.66551.80551.8023.7823.781.111.118.748.74-3.67-3.67-17.13-17.133.253.2514.6414.649.389.380.370.370.700.702.792.79
10.Genus Power Infrastructures LtdGENUSPOWERElectronic EquipmentsElectronic Equipments7,991.807,991.80262.30262.3025.6725.67-0.15-0.153.133.13-23.50-23.50-1.02-1.024.284.2818.1118.1120.1620.160.850.850.730.733.293.29
11.Dilip Buildcon LtdDBLConstruction & EngineeringConstruction & Engineering7,008.687,008.68416.00416.0010.9410.94-3.58-3.58-9.84-9.84-10.61-10.611.111.111.331.3313.3113.3117.0617.060.210.211.811.812.912.91
12.Sudarshan Chemical Industries LtdSUDARSCHEMDiversified ChemicalsDiversified Chemicals6,968.166,968.16877.35877.35124.97124.97-1.02-1.020.270.27-41.52-41.522.842.841.731.732.152.152.222.220.510.510.590.592.762.76
13.Shilpa Medicare LtdSHILPAMEDPharmaceuticalsPharmaceuticals6,644.896,644.89336.65336.6584.8684.86-0.91-0.9126.1826.18-20.11-20.117.327.322.812.813.763.767.517.510.150.150.250.253.173.17
14.Greenlam Industries LtdGREENLAMBuilding Products - LaminatesBuilding Products - Laminates6,146.006,146.00239.01239.0188.1988.19-0.78-0.78-3.30-3.301.291.293.423.425.465.466.336.338.738.730.170.171.071.073.143.14
15.GeeCee Ventures LtdGEECEEReal EstateReal Estate609.89609.89287.95287.9513.0413.04-1.27-1.27-5.71-5.71-19.95-19.95-26.18-26.180.780.786.556.557.137.130.690.690.000.002.572.57
16.Praxis Home Retail LtdPRAXISHome FurnishingHome Furnishing148.09148.097.797.79-4.23-4.23-2.26-2.261.041.04-43.67-43.67-40.58-40.58-2.41-2.41---37.47-37.47----3.913.91
17.Somi Conveyor Beltings LtdSOMICONVEYIndustrial MachineryIndustrial Machinery126.82126.82105.92105.9223.1023.10-1.62-1.622.542.54-24.59-24.59-19.06-19.061.661.667.447.4412.1912.19--0.280.284.674.67
18.Pan Electronics (India) LtdPANELECElectrical Components & EquipmentsElectrical Components & Equipments16.3116.3140.2940.29-4.36-4.36-1.18-1.18-1.08-1.08-28.26-28.26-43.07-43.07-0.62-0.62---35.09-35.09----4.334.33

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 Akash Bhansali investment portfolio as on 10th February 2026. Stocks are sorted by market capitalisation, highest to lowest.

Akash Bhanshali’s Bulk and Block Deals

Bulk and block deals improve market transparency and explain sharp changes in stock volumes. These disclosures help track where large investors deploy capital and which sectors attract or lose interest over time. Analysts often review such deals to understand portfolio shifts and changing market sentiment.


Here’s how you can find the latest bulk and block deals by Akash Bhanshali:

  1. Open Market Movers
  2. Under Party, type Akash Bhanshali
  3. Select the relevant Category and Transaction Type

The results show Akash Bhanshali’s latest bulk and block deals. The platform also allows date filtering to review historical transactions and identify patterns over time.

Investor Profile – Akash Bhanshali

Akash Bhanshali is an Indian equity investor and the Head of Principal Investments at ENAM Holdings Pvt. Ltd.. Investors and market watchers follow his moves because he often takes meaningful positions in mid-sized listed companies and stays invested as businesses scale operations and improve profitability.

  1. Name: Akash Bhanshali
  2. Profession: Equity investor, Head of Principal Investments at ENAM Holdings
  3. Marketexperience: Several decades in Indian equity markets
  4. Estimated net worth (₹): ~₹6,047.57 cr., based on public shareholding data
  5. No. of portfolio companies: Around 15 active stocks from 17 disclosed holdings
  6. Primary focus: Mid-cap companies, manufacturing, chemicals, pharma, and infrastructure-linked businesses

His portfolio usually shows concentrated bets rather than very small allocations across many companies. When he increases ownership, markets often read it as long-term confidence in the company’s business direction. Across quarters, his investments span sectors such as chemicals, electrical equipment, renewable energy supply chains, pharmaceuticals, and consumer-facing manufacturing. This mix shows participation in areas linked to industrial growth, domestic demand, and export opportunities.

Top Stocks in Akash Bhanshali Portfolio

Gujarat Fluorochemicals Ltd

Gujarat Fluorochemicals Ltd operates in the speciality chemicals space with a strong presence in fluoropolymers, fluorospecialties, refrigerants, and battery materials. The company serves industries such as electric vehicles, electronics, renewable energy, and refrigeration. A large part of its revenue comes from exports, giving it global market exposure.

One97 Communications Ltd

One97 Communications Ltd is the parent company of the Paytm brand. It operates across digital payments, financial services distribution, merchant solutions, and lending partnerships. The company plays a role in India’s shift toward formal and technology-driven financial transactions.

Laurus Labs Ltd

Laurus Labs Ltd is a pharmaceutical and biotechnology company engaged in active pharmaceutical ingredients, formulations, and contract development and manufacturing. It supplies products to global markets and has built capabilities in anti-retroviral, oncology, and other therapeutic areas.

Sudarshan Chemical Industries Ltd

Sudarshan Chemical Industries Ltd manufactures pigments used in coatings, plastics, inks, and cosmetics. The company has an international customer base and focuses on speciality and performance pigments, which support its presence in export markets.

Schneider Electric Infrastructure Ltd

Schneider Electric Infrastructure Ltd provides products and solutions for electricity distribution, including transformers, switchgear, and grid automation equipment. Its business links closely to industrial expansion, urban infrastructure, and power network upgrades.

Akash Bhansali Portfolio Composition

Here are the active stocks publicly held by Mukul Agrawal as of February 2026:

Stock Name Holding Value (In ₹ Cr) Shares Held Dec 2025 Change (%) Dec 2025 Holding (%) Sep 2025 Holding (%)
Gujarat Fluorochemicals Ltd 1,772 5,219,505 0 4.80% 4.80%
One 97 Communications Ltd 911 7,921,162 0 1.20% 1.20%
Laurus Labs Ltd 727 7,151,700 0 1.30% 1.30%
Sudarshan Chemical Industries Ltd 520 5,605,577 0 7.10% 7.10%
Schneider Electric Infrastructure Ltd 458 5,510,905 0 2.30% 2.30%
Amber Enterprises India Ltd 315 404,302 -0.2 1.20% 1.40%
Inox Wind Ltd 304 30,288,766 0 1.80% 1.80%
Ramkrishna Forgings Ltd 230 4,051,910 0 2.20% 2.20%
Welspun Living Ltd 192 13,856,511 0 1.40% 1.40%
Greenlam Industries Ltd 180 7,239,890 0 2.80% 2.80%
Natco Pharma Ltd 159 1,800,788 0 1.00% 1.00%
Shilpa Medicare Ltd 98 2,980,068 0 1.50% 1.50%
Genus Power Infrastructures Ltd 97 3,608,418 0 1.20% 1.20%
Dilip Buildcon Ltd 79 1,829,340 0 1.10% 1.10%
Somi Conveyor Beltings Ltd 49 4,552,011 0 38.70% 38.70%
GeeCee Ventures Ltd 19 629,570 0 3.00% 3.00%
Praxis Home Retail Ltd 3 3,975,150 0 2.10% 2.20%
Pan Electronics India Ltd 0.216 53,483 0 1.30% 1.40%

How to Invest in Akash Bhanshali Portfolio Stocks?

Here's how you can invest in Akash Bhanshali portfolio stocks using Tickertape -

  1. Create an account on the Tickertape or log in if you already have one.
  2. Open Akash Bhansali 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!

Akash Bhanshali Net Worth

Akash Bhanshali holds significant stakes across a focused list of publicly traded companies. Based on the latest available shareholding disclosures and prevailing market prices, the value of his reported equity holdings stands at around ₹6,047.57 cr. This figure changes every quarter because stock prices move and ownership levels may rise or fall.

Akash Bhansali's Investment Strategy

Fundamentally Strong Mid-Sized Businesses

Bhanshali tends to invest in companies with solid balance sheets, stable cash flows and room for operational improvement. He looks for businesses where fundamental earnings and competitive position can improve over time rather than chasing momentum-driven stocks.

Research-Driven Selection

His portfolio companies are chosen after assessing core financial metrics, industry position, growth prospects, and management credibility. This shows a structured research discipline rather than speculative allocation.

Sector Diversification with Industry Tilt

While diversified across sectors, his holdings often lean toward industrial, chemical, infrastructure and manufacturing-linked themes. These sectors typically benefit from long-term capital investment cycles and domestic demand growth.

Long-Term Holding Orientation

Bhanshali’s disclosed holdings tend to stay across several quarters, suggesting that he favours a patient, long-term approach. This allows businesses time to execute growth plans, expand market share, and improve profitability, which is key for compounding returns.

Adaptive Adjustments Across Quarters

Although his core view remains long-term, public filings show trims and additions based on valuation changes, risk-reward shifts, or emerging opportunities. For example, some positions are reduced slightly when valuations run up, and fresh stakes are taken when new opportunities arise.

Participation in Structural Themes

His investments often tie into structural growth drivers like industrial capacity expansion, chemicals for speciality applications, electrical infrastructure, consumer-linked demand shifts, and formalisation of financial services. These themes can play out over years rather than months.

Learnings from the Akash Bhansali Portfolio in 2026

Long Holding Periods

Akash Bhanshali often stays invested in companies across many quarters. Several names remain visible in repeated disclosures, which shows comfort in allowing business plans, capacity expansion, and earnings improvement to play out over time rather than reacting to short market moves.

Preference for Industrial Themes

A large part of the portfolio sits in areas such as speciality chemicals, engineering, electrical infrastructure, and manufacturing. These businesses usually benefit from investment cycles, export demand, and formalisation trends that develop gradually.

Focused Diversification

The number of holdings typically stays limited, usually under twenty stocks. This approach spreads risk across sectors but still allows each investment to remain meaningful enough to influence overall portfolio performance.

Mid-Cap Orientation

Many companies in the portfolio fall in the mid-cap segment. Such businesses are often in growth phases, expanding production, entering new markets, or improving efficiencies, which can change their scale over time.

Acceptance Of Market Cycles

High-quality stock selection still requires patience and readiness for cyclic impacts. Portfolio values fluctuate with market conditions. Changes in total net worth across quarters indicate that even strong businesses can see price swings in the short term.

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Factors Affecting Stock Selection in the Akash Bhansali Portfolio

Business Fundamentals

Akash Bhanshali usually appears in companies that show stable operations, visible revenue streams, and the ability to improve profitability over time. Many holdings operate in specialised areas where competitive intensity remains manageable and long-term demand can be tracked.

Sector Tailwinds

A noticeable part of the portfolio sits in chemicals, engineering, power equipment, and healthcare-linked businesses. These industries often benefit from investment activity, replacement demand, export markets, or a policy-driven manufacturing push.

Mid-Cap Growth Scope

Several names fall outside the largest index companies and sit in the mid-cap universe. These firms are often in expansion phases such as building new plants, widening product range, or entering global supply chains.

Conviction-Based Allocation

Akash Bhanshali's portfolio generally contains a limited number of stocks. This structure allows larger participation in selected ideas instead of distributing capital across a very wide list.

Strategic Active Adjustments

There is evidence of periodic rebalancing, adding new stocks that show attractive risk-reward and trimming or exiting others when valuations run up or thesis changes. For example, he has added positions in certain small-cap stocks while reducing stakes in others over different quarters

Conclusion

Akash Bhanshali builds positions through research, keeps a focused list of companies, and stays invested as businesses scale. His portfolio shows how conviction, sector spread, and ongoing review based on company performance shape long-term outcomes. Investors should avoid copying any portfolio.

Financial goals, risk capacity, and holding periods differ from person to person. Independent evaluation remains important before making decisions. For deeper analysis, investors can use the Tickertape Stock Screener with 200+ filters covering fundamentals, valuation, and financial strength. Market participants can also follow ownership trends and major updates through Tickertape Market Movers.

Frequently Asked Questions About the Akash Bhansali Portfolio

  1. Who is Akash Bhanshali?

    Akash Bhanshali is an Indian equity investor and Head of Principal Investments at ENAM Holdings. Market participants track his shareholding disclosures to understand where he allocates capital across listed companies.

  2. What is Akash Bhanshali's portfolio?

    The Akash Bhanshali portfolio includes 15 active stocks across a focused list of companies, largely in manufacturing, chemicals, infrastructure, and healthcare-linked businesses. The exact list and weights change with quarterly filings.

  3. Which stocks are part of Akash Bhanshali investments?

    As of 9th February 2026, the top stocks as per value that are part of Akash Bhanshali investments include:
    1. Gujarat Fluorochemicals Ltd
    2. One97 Communications Ltd
    3. Laurus Labs Ltd
    4. Sudarshan Chemical Industries Ltd
    5. Schneider Electric Infrastructure Ltd

      1. Disclaimer: This information on top Akash Bhanshali stocks is for educational purposes only and should not be considered investment advice.

  4. How many companies are in Akash Bhanshali fund holdings?

    As of 9 February 2026, Akash Bhanshali shows 15 active stocks out of a total of 17 owned positions in publicly available disclosures. The count can change in future quarters as shareholding patterns get updated.

  5. Where can I find Akash Bhanshali shares data?

    Details about Akash Bhanshali shares come from exchange shareholding patterns released every quarter. These disclosures show percentage ownership and help track increases or reductions. Investors can use Tickertape Market Movers to track bulk and block deals in Akash Bhanshali portfolio.

  6. What do Akash Bhanshali stock holdings indicate?

    Akash Bhanshali stock holdings often highlight a preference for scalable mid-sized companies, visible assets, and sectors linked to industrial and economic activity.

  7. How often does the Akash Bhanshali stocks portfolio change?

    The Akash Bhanshali stocks portfolio can change every quarter. Stake sizes may rise, fall, or remain steady depending on market prices and portfolio adjustments.

  8. What is Akash Bhanshali ENAM Holdings?

    Akash Bhanshali leads principal investment activities at ENAM Holdings Pvt. Ltd., an investment firm known for participating in Indian capital markets across listed and unlisted opportunities.