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Latest Ashok Kumar Jain Portfolio and Shareholdings

Ashok Kumar Jain stands among seasoned market participants who prefer focused ownership instead of wide diversification. Ashok Kumar Jain stocks portfolio shows steady allocations across mid-sized businesses, gradual stake changes, and long holding periods. This pattern shows how conviction, patience, and comfort with less-tracked companies shape overall wealth creation.

Latest Ashok Kumar Jain Stock Portfolio & Holdings (2026)

Ashok Kumar Jain Portfolio Stock Screener

Ashok Kumar Jain Portfolio Stock Screener: Analyse & Filter Indian Stocks on Tickertape

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NameStocks (32)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.Madhya Bharat Agro Products LtdMBAPLFertilizers & Agro ChemicalsFertilizers & Agro Chemicals4,166.224,166.22468.75468.7572.4972.49-1.41-1.4116.2016.2010.1010.1055.9655.9610.3210.3215.2315.2320.6420.640.110.110.790.793.153.15
2.Krishana Phoschem LtdKRISHANAFertilizers & Agro ChemicalsFertilizers & Agro Chemicals3,046.553,046.55484.35484.3535.2035.20-1.70-1.70-0.34-0.34-16.69-16.69138.23138.237.947.9425.2925.2927.6827.680.100.100.980.983.653.65
3.Jain Irrigation Systems LtdJISLDVREQSAgricultural & Farm MachineryAgricultural & Farm Machinery2,603.282,603.2823.1323.13---0.73-0.73-4.50-4.50-23.36-23.36-19.60-19.60----------3.343.34
4.Concord Control Systems LtdCNCRDElectrical Components & EquipmentsElectrical Components & Equipments2,489.112,489.112,435.002,435.00109.89109.891.581.58-0.65-0.6595.1495.14231.53231.5320.8920.8927.3927.3925.5725.57--0.000.004.034.03
5.Insolation Energy LtdINARenewable EnergyRenewable Energy2,210.042,210.04100.35100.3517.5117.510.050.05-0.39-0.39-55.04-55.04-62.12-62.123.583.5834.8034.8025.1725.170.100.100.180.184.444.44
6.Rane Holdings LtdRANEHOLDINAuto PartsAuto Parts1,700.491,700.491,206.601,206.608.218.211.311.31-2.67-2.67-19.48-19.48-5.48-5.481.261.2616.4616.4619.2519.253.193.190.790.792.782.78
7.Arihant Capital Markets LtdARIHANTCAPDiversified FinancialsDiversified Financials881.83881.8380.1780.1715.0315.03-0.35-0.355.405.40-27.43-27.4320.3920.392.292.2916.6016.6018.1718.170.590.590.250.254.474.47
8.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
9.Jayant Agro-Organics LtdJAYAGROGNSpecialty ChemicalsSpecialty Chemicals537.45537.45176.35176.359.799.79-1.56-1.56-1.92-1.92-25.63-25.63-31.47-31.470.880.889.279.2713.9913.991.401.400.180.182.612.61
10.Fluidomat LtdFLUIDOMIndustrial MachineryIndustrial Machinery281.55281.55574.65574.6512.6812.680.560.56-14.15-14.15-39.12-39.12-26.23-26.233.503.5031.4231.4236.4536.451.311.310.000.003.363.36
11.DCM Nouvelle LtdDCMNVLTextilesTextiles250.30250.30127.91127.9128.0928.09-4.55-4.552.152.15-21.53-21.53-19.35-19.350.750.752.722.729.559.55--1.021.023.463.46
12.Jocil LtdJOCILCommodity ChemicalsCommodity Chemicals117.38117.38133.51133.51115.08115.081.011.019.439.43-17.36-17.36-13.87-13.870.570.570.490.490.750.750.380.380.000.002.632.63
13.Pee Cee Cosma Sope LtdPCCOSMAFMCG - Household ProductsFMCG - Household Products95.2595.25347.70347.709.929.92-3.40-3.403.853.85-25.09-25.09-33.73-33.731.961.9621.6121.6126.6526.650.830.830.030.033.913.91
14.Paras Petrofils LtdPARASPETROTextilesTextiles74.5374.532.172.17931.64931.64-2.69-2.6928.4028.40-10.70-10.70-7.26-7.263.673.670.390.390.440.44--0.000.004.734.73
15.Ambo Agritec LtdAMBOAGRIAgro ProductsAgro Products63.4563.4531.9531.9551.5951.59-1.08-1.08-4.63-4.63-39.42-39.42-52.97-52.971.501.504.074.078.848.84--0.390.395.365.36
16.Le Lavoir LtdLELAVOIRBusiness Support ServicesBusiness Support Services63.1863.18202.20202.2046.8046.803.693.69-21.21-21.21-30.34-30.34-1.25-1.258.328.3219.9919.9923.3723.37--0.050.054.434.43
17.Ceejay Finance LtdCEEJAYConsumer FinanceConsumer Finance58.6558.65164.35164.358.638.63-3.32-3.32-2.84-2.84-16.99-16.99-2.75-2.750.770.779.369.368.578.570.710.710.620.623.873.87
18.G.S. Auto International LtdGSAUTOAuto PartsAuto Parts46.1446.1431.8231.8232.7232.720.090.095.945.94-4.01-4.01-8.09-8.092.002.006.286.2814.7314.73--1.221.223.073.07
19.Healthy Life Agritec LtdHEALTHYLIFEAgro ProductsAgro Products45.0145.018.868.8613.8913.89-2.32-2.32-5.74-5.74-74.50-74.50-77.57-77.571.311.3110.5710.5713.1313.13--0.220.224.254.25
20.Travels & Rentals LtdTRAVELSTour & Travel ServicesTour & Travel Services38.4338.4317.3217.3211.9711.970.990.994.464.46-54.69-54.69-68.22-68.221.361.3614.9214.9217.8217.82--0.700.706.446.44

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 Ashok Kumar Jain investment portfolio as on 10th February 2026. Stocks are sorted by market capitalisation, highest to lowest.

Ashok Kumar Jain’s Bulk and Block Deals

Bulk and block disclosures provide a window into how large shareholders adjust their exposure in listed companies. These transactions help observers understand shifts in ownership, potential supply or demand changes, and the seriousness of an investor’s conviction.


Here is how market participants typically trace transactions linked to him:
  1. Open Market Movers
  2. Under Party, type Ashok Kumar Jain
  3. Select the relevant Category and Transaction Type

Not every change will show up in bulk data because reporting depends on quantity thresholds. Smaller adjustments may only become visible in quarterly shareholding patterns.

Investor Profile – Ashok Kumar Jain

Ashok Kumar Jain is a public market investor whose participation becomes visible through quarterly shareholding disclosures of listed companies. Observers associate his style with meaningful position sizes, limited churn, and long holding periods. Ashok Kumar Jain’s stocks portfolio history shows gradual accumulation and patience as business outcomes develop instead of frequent trading.

  1. Name: Ashok Kumar Jain
  2. Profession: Equity investor
  3. Known for: Concentrated bets in select listed companies
  4. Portfolio visibility: Derived from exchange shareholding filings

Unlike investors who share views through interviews or fund letters, Jain keeps a relatively low public profile. Because of this, analysts study ownership changes, sector choices, and holding duration across reporting cycles to understand his approach.

Top Stocks in Ashok Kumar Jain Portfolio (2026)

Fluidomat Ltd

Fluidomat Ltd. manufactures fluid couplings and related power transmission equipment used across industries such as mining, cement, power, and material handling. The company’s products help control torque and improve equipment life in heavy-duty applications. Its performance links to industrial capex, infrastructure activity, and demand from core manufacturing sectors.

GeeCee Ventures Ltd

GeeCee Ventures Ltd. operates across real estate development, financial investments, and leasing. The business combines property monetisation with treasury income from its investment portfolio. Earnings often depend on project execution timelines, asset sales, and market conditions in urban property markets.

Rane Holdings Ltd

Rane Holdings Ltd. functions as the holding company for the Rane Group, with exposure to automotive components and mobility solutions. Its value derives largely from investments in operating subsidiaries that manufacture steering, safety, and casting products. Performance, therefore, tracks trends in automobile production and demand.

Jayant Agro-Organics Ltd

Jayant Agro-Organics Ltd. produces castor oil and a wide range of castor-based derivatives used in lubricants, cosmetics, pharmaceuticals, and speciality chemicals. The company maintains a strong export orientation, and profitability often moves with global demand, commodity prices, and currency trends.

DCM Nouvelle Ltd

DCM Nouvelle Ltd. operates in textiles, chemicals, and trading activities. Its textile division manufactures yarn and fabrics, while the chemical segment supplies inputs to multiple industrial users. Business outcomes depend on raw material prices, export demand, and utilisation levels in manufacturing facilities.

Ashok Kumar Jain Portfolio Composition

Here are the active stocks publicly held by Ashok Kumar Jain as of February 2026:

Stock Name Holding Value (in Cr.) Shares Held Dec 2025 Change (%) Dec 2025 Holding (%) Sep 2025 Holding (%)
Arihant Capital Markets Ltd 273.2 36,031,680 0.7 32.90% 32.20%
Fluidomat Ltd 64.5 1,106,452 0 22.50% 22.50%
Madhya Bharat Agro Products Ltd 44.4 954,746 1 1.10% 0.10%
GeeCee Ventures Ltd 29.9 1,000,771 0 4.80% 4.80%
Rane Holdings Ltd 24.5 188,975 0 1.30% 1.30%
Jayant Agro-Organics Ltd 11.6 652,652 0.1 2.20% 2.10%
Jain Irrigation Systems Ltd 6.7 1,826,360 0 0.30% 0.30%
DCM Nouvelle Ltd 5.8 415,771 0 2.20% 2.20%
Jocil Ltd 5.1 380,707 0.2 4.30% 4.10%
Ambo Agritec Ltd 4.1 1,275,000 0.3 6.50% 6.20%
Darjeeling Industriies Ltd 3.4 1,200,000 New 24.70% -
Pee Cee Cosma Sope Ltd 2.8 78,150 0 3.00% 3.00%
Ceejay Finance Ltd 2.3 130,019 0.4 3.80% 3.30%
Le Lavoir Ltd 2.2 111,300 0 3.40% 3.40%
Healthy Life Agritec Ltd 2 2,072,000 -0.4 4.20% 4.50%
Mahaveer Infoway Ltd 1.5 1,758,028 0 31.90% 31.90%
Krishana Phoschem Ltd 0.978 18,438 0 0.00% 0.00%
G.S. Auto International Ltd 0.534 154,900 0 1.10% 1.10%
Paras Petrofils Ltd 0.504 2,229,000 0 0.70% 0.70%
Sharma East India Hospitals and Medical Research Ltd 0.426 35,000 0 1.10% 1.10%
Genomic Valley Biotech Ltd 0.408 168,100 0 5.50% 5.50%
Dipna Pharmachem Ltd 0.343 276,000 Filing Awaited - 1.20%
Kcl Infra Projects Ltd 0.317 150,000 Filing Awaited - 1.30%
Kcl Infra Projects Ltd 0.243 1,701,000 New 1.00% -
Octal Credit Capital Ltd 0.168 80,000 0 1.60% 1.60%
VB Industries Ltd 0.089 140,000 0 1.10% 1.10%
Insolation Energy Ltd 0.024 2,000 - - 0.00%
Sybly Industries Ltd 0.018 100,000 Filing Awaited - 1.10%
Mayur Floorings Ltd 0.016 11,000 0 0.20% 0.20%
RSC International Ltd 0.014 2,500 0 0.00% 0.00%
Concord Control System Ltd 0.012 50 - - 0.00%
Worldwide Aluminium Ltd 0.000095 500 0 0.00% 0.00%

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Ashok Kumar Jain Net Worth

Ashok Kumar Jain’s publicly disclosed equity portfolio stands at about ₹161.56 cr based on the latest shareholding filings available in 2026. This value represents the combined market worth of Ashok Kumar Jain holdings across listed companies where his ownership crosses disclosure thresholds.

Market prices move daily, so the portfolio value can fluctuate even if the number of shares remains unchanged. Changes may also appear when fresh quarterly filings capture stake increases, reductions, or new entries.

Ashok Kumar Jain's Investment Strategy

Focused Ownership

Ashok Kumar Jain builds meaningful positions instead of spreading capital across too many stocks. Several holdings show large percentages, which signals strong conviction. This approach lets portfolio performance reflect how the underlying businesses perform.

Under-Researched Opportunities

A large share of the portfolio sits outside the biggest index names. These businesses receive limited analyst coverage, which can create pricing gaps. He aims to identify value before the broader market recognises it.

Long Holding Patience

Quarterly data across many holdings shows continuity instead of frequent exits. He relies on gradual improvement in operations, stronger balance sheets, or valuation re-rating rather than quick trades.

Preference for Proven Operators

Many companies in the portfolio belong to groups with long operating histories. He prefers situations where execution visibility stays greater and negative surprises remain limited.

Learnings from the Ashok Kumar Jain Portfolio in 2026

Conviction Simplifies Tracking

Holding fewer stocks makes monitoring easier. Meaningful allocations push the focus toward deep business understanding rather than daily market noise.

Look Beyond Index Names

Mid-sized and small companies can remain unnoticed for long periods. Early study can reveal improving earnings or asset strength before wider participation begins.

Time Enables Value Discovery

Some businesses need years to reduce debt, improve capacity use, or recover margins. The portfolio shows that waiting often forms part of the strategy.

Stable Stakes Reflect Trust

When stake levels remain steady across quarters, it usually reflects comfort with management direction and industry prospects.

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Factors Affecting Stock Selection in the Ashok Kumar Jain Portfolio

Business Durability

The portfolio repeatedly features companies that serve steady demand segments or hold niche positions. This reduces dependence on unpredictable external triggers.

Balance Sheet Visibility

Companies with manageable leverage and clear asset backing appear frequently. Stronger finances improve the ability to withstand slowdowns.

Scope for Operating Improvement

Selections often include businesses where better utilisation, pricing discipline, or restructuring can lift profitability over time.

Promoter Commitment

Promoter involvement and continuity matter. Active participation from owners can strengthen accountability and execution quality.

Valuation Comfort at Entry

Many investments appear in companies that traded at reasonable multiples compared with assets or earnings power. This shows attention to protecting the downside.

Conclusion

Ashok Kumar Jain holds a publicly disclosed equity portfolio worth about ₹161.56 cr based on the latest shareholding filings available in 2026. This value represents the combined market worth of his holdings in listed companies where his ownership crosses disclosure thresholds.

Market prices change every day, so the portfolio value can move even when the number of shares stays the same. Updates also appear when new quarterly filings record stake increases, reductions, or fresh entries.

Frequently Asked Questions About the Ashok Kumar Jain Portfolio

  1. Who is Ashok Kumar Jain?

    Ashok Kumar Jain is an Indian public market investor whose name appears in the shareholding disclosures of several listed companies. Market participants track his activity because he builds meaningful stakes and holds them for long periods.

  2. What is Ashok Kumar Jain net worth?

    Ashok Kumar Jain holds a publicly disclosed equity portfolio of about ₹161.56 cr based on the latest filings. This number reflects only reportable listed holdings and changes with market prices.

  3. What is the background of Ashok Kumar?

    Ashok Kumar Jain keeps a low public profile. He does not publish letters or give frequent interviews. Analysts usually understand his approach by studying quarterly ownership data and portfolio movements.

  4. What is Ashok Kumar Jain's investment strategy?

    He follows a concentrated style and allocates capital to a limited set of companies. His portfolio activity shows patience, a preference for steady businesses, and reliance on long-term operating improvement instead of frequent trading.

  5. What sectors does Ashok Kumar Jain invest in?

    His investments span financial services, industrial products, chemicals, and select niche manufacturing businesses. These sector positions become visible through periodic disclosures that detail Ashok Kumar Jain fund holdings.