Good evening :)

Manish Jain Portfolio Shareholdings and Investments in 2026

Manish Jain is a name shared by multiple public shareholders whose combined disclosed holdings are tracked under this portfolio. As per the latest corporate shareholdings filing, Manish Jain publicly holds 13 stocks with a net worth of over ₹2,043.5 cr. Here, we cover the disclosed holdings, sector allocation, and investment context based on publicly available shareholding data

Latest Manish Jain Stock Portfolio & Holdings (2026)

Manish Jain Portfolio Stock Screener

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

Showing 1 - 13 of 13 results

last updated at 6:30 AM IST 
NameStocks (13)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.Linde India LtdLINDEINDIACommodity ChemicalsCommodity Chemicals57,694.7857,694.787,296.507,296.50126.84126.844.214.2110.5410.5417.1917.1917.2917.2915.1015.1012.4812.4815.2115.210.180.180.010.012.122.12
2.Enviro Infra Engineers LtdEIELWater ManagementWater Management2,490.422,490.42168.12168.1214.1314.132.782.7810.0410.04-33.82-33.82-24.80-24.802.512.5127.4527.4525.2525.25--0.240.243.243.24
3.Hester Biosciences LtdHESTERBIOBiotechnologyBiotechnology1,146.641,146.641,419.401,419.4041.7341.733.943.94-5.50-5.50-22.31-22.31-20.56-20.563.513.518.738.739.899.890.520.520.650.652.392.39
4.Career Point Edutech LtdCPEDUEducation ServicesEducation Services285.61285.61155.96155.9615.2915.291.271.27-18.77-18.77-44.36-44.36-33.76-33.764.984.9838.8738.8740.1240.12--0.000.003.723.72
5.Shradha Realty LtdSHRADHAReal EstateReal Estate238.54238.5430.8830.8812.9212.920.130.13-12.52-12.52-34.60-34.60-40.98-40.981.151.1511.6711.6715.6815.681.061.060.740.743.933.93
6.CP Capital LtdCPCAPEducation ServicesEducation Services151.53151.5384.9984.993.983.982.292.29-5.57-5.57-33.89-33.89-70.12-70.120.280.287.307.309.339.333.603.600.080.082.662.66
7.Aplab LtdAPLABElectronic EquipmentsElectronic Equipments147.21147.2165.4765.47545.21545.211.841.84-14.17-14.17-14.18-14.18102.94102.9414.0614.062.622.62-13.79-13.79--2.852.854.224.22
8.MRP Agro LtdMRPAgro ProductsAgro Products101.61101.6189.5589.5514.7314.733.473.473.453.45-12.80-12.80-31.88-31.883.123.1230.3130.3128.0928.09--0.000.002.562.56
9.Paras Petrofils LtdPARASPETROTextilesTextiles82.5582.552.452.451,031.911,031.91-1.61-1.6115.5715.5711.3611.36-10.58-10.584.064.060.390.390.440.44--0.000.003.843.84
10.ITL Industries LtdITLIndustrial MachineryIndustrial Machinery76.8776.87280.40280.408.298.292.212.2112.7812.78-18.83-18.83-29.57-29.570.950.9512.1512.1517.5117.510.420.420.250.252.672.67
11.COSCO (India) LtdCOSCOTheme Parks & GamingTheme Parks & Gaming72.9672.96173.40173.4094.7694.764.814.81-16.83-16.83-28.05-28.05-32.36-32.361.451.451.541.549.309.30--1.241.242.752.75
12.Ajwa Fun World and Resort LtdAJWAFUNTheme Parks & GamingTheme Parks & Gaming28.7628.7647.5147.5192.7692.760.000.00-2.84-2.8457.1657.1643.9343.93-15.30-15.30--17.3617.36----4.614.61
13.Manraj Housing Finance LtdMANRAJHReal EstateReal Estate22.0122.0144.0144.0166.6866.680.000.00-3.08-3.08-18.73-18.73-22.12-22.12-81.50-81.50--1.701.70----3.433.43

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 Manish Jain investment portfolio as on 24th March 2026. Stocks are sorted by market capitalisation, highest to lowest.

Manish Jain'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 Manish Jain:

  1. Open Market Movers
  2. Under Party, type Manish Kumar Jain
  3. Select the relevant Category and Transaction Type

The results show Manish Jain's latest bulk and block deals. The platform also allows date filtering to review historical transactions and identify patterns over time.

Investor Profile – Manish Jain

  1. Name: Manish Jain
  2. Education (Enviro Infra MD): B.Tech, Chemical Engineering, Punjab University, Chandigarh
  3. Disclosed portfolio value (₹): ~₹2,043.5 Cr (as per Dec 2025 filings, combined)
  4. No. of disclosed portfolio companies: 13 stocks (Dec 2025)
  5. Primary sectors: Industrial gases, water infrastructure, veterinary biosciences, education, agri-business

Together, the holdings tracked under the Manish Jain name-pattern span a wide range of sectors. The Linde India position reflects a large, high-conviction bet on India's industrial gases sector and the long-term value unlock potential of a majority foreign-owned listed subsidiary..



Overview of Stocks in Manish Jain's Portfolio

Linde India Ltd

Linde India manufactures and supplies industrial and medical gases such as oxygen, nitrogen, and argon. Industries like steel, healthcare, chemicals, and electronics use these gases in their operations.

Enviro Infra Engineers Ltd

Enviro Infra Engineers builds water and wastewater treatment infrastructure. The company designs and constructs sewage treatment plants, water treatment plants, and effluent treatment systems mainly for government and municipal projects.

Hester Biosciences Ltd

Hester Biosciences develops and manufactures vaccines and health products for poultry, livestock, and companion animals. The company supplies these products in India and also exports to several international markets.

Career Point Edutech Ltd

Career Point Edutech provides coaching and digital learning programmes for engineering and medical entrance exams. The company also offers learning support for school students through classroom and online platforms.

MRP Agro Ltd

MRP Agro trades and processes agricultural commodities. The company operates in the agri-supply chain and supplies products to domestic markets in India.

Manish Jain Portfolio Composition

The following table shows the publicly disclosed holdings of Manish Jain based on the latest available shareholding filings, sorted by holding value.

Stock Name Holding Value (in cr.) Shares Held Holding Percent
Linde India Ltd 1,184.20 1,691,169 Filing Awaited(1.98% in Dec 2025)
Enviro Infra Engineers Ltd 798.7 48,831,500 Filing Awaited(27.82% in Dec 2025)
Hester Biosciences Ltd 47.9 351,117 Filing Awaited(4.12% in Dec 2025)
MRP Agro Ltd 30.5 3,522,000 Filing Awaited(31.70% in Dec 2025)
Career Point Ltd 13.2 858,054 Filing Awaited(4.72% in Dec 2025)
CP Capital Ltd 7.1 857,847 Filing Awaited(4.72% in Dec 2025)
Aplab Ltd 5.3 825,000 Filing Awaited(3.28% in Dec 2025)
Manraj Housing Finance Ltd 3.8 860,100 Filing Awaited(17.20% in Dec 2025)
Shradha Infraprojects Ltd 3.1 1,000,000 Filing Awaited(1.23% in Dec 2025)
ITL Industries Ltd 2.6 93,850 Filing Awaited(2.93% in Dec 2025)
COSCO India Ltd 1.7 104,100 Filing Awaited(2.51% in Dec 2025)
Paras Petrofils Ltd 0.066 258,815 Filing Awaited(0.08% in Dec 2025)
Ajwa Fun World and Resort Ltd 0.018 3,800 Filing Awaited(0.06% in Dec 2025)

How to Invest in Manish Jain Portfolio Stocks?

Here's how you can invest in Manish Jain Investment Fund Mother Fund portfolio stocks using Tickertape -

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

Manish Jain Net Worth

As per corporate shareholdings filed for December 31, 2025, people matching Manish Jain publicly hold 13 stocks with a combined disclosed net worth of over ₹2,043.5 Cr. The two largest components are the Linde India stake (₹1,201.7 Cr) and the Enviro Infra Engineers promoter stake (₹707.2 Cr).

Manish Jain's Investment Strategy

High-Conviction Stake Building

The most distinctive feature of Manish Jain's portfolio is his concentrated, rapidly built positions in companies. From near zero, he accumulated a 2%+ stake in Linde India in approximately 7 months. This type of stake building in a majority foreign-owned listed subsidiary is typically driven by the gap between the listed entity's fundamentals and its market price relative to global peers.

Diversification Across Sectors

The portfolio shows exposure across multiple sectors such as education services, biosciences, and agricultural businesses. These industries typically fall within the small and micro-cap segment, where institutional participation is limited, and research coverage is relatively low.

Long-Term, Low-Churn Holding Pattern

Shareholding patterns across several positions have remained broadly stable over multiple quarters. This consistency indicates a long-term holding approach, where positions are maintained through market cycles rather than frequently adjusted for short-term movements.

Learnings From Manish Jain's Portfolio

Positioning in Special Situations

One part of the portfolio reflects exposure to companies where promoter ownership is already high. In such situations, meaningful minority shareholding can become important if corporate actions like delisting or buybacks occur. This approach indicates participation in special situations where shareholder structure may influence outcomes.

Exposure to Structural Infrastructure Themes

Manish Jain's portfolio includes exposure to businesses linked to water infrastructure and urban utility projects. These sectors benefit from long-term government spending on sanitation, sewage treatment, and water supply systems, making them closely tied to India's urbanisation and public infrastructure programmes.

Participation in Niche Life Sciences Segments

Another allocation appears in veterinary biotechnology and related life sciences activities. This segment serves the livestock and animal healthcare ecosystem and is gradually expanding as organised animal husbandry and regulated vaccine markets develop.

Install the Tickertape app and enjoy a more hands-on investing experience
  • portfolio-iconReceive real-time market alerts for timely decisions
  • portfolio-iconMonitor your portfolio from the palm of your hands
  • portfolio-iconWatchlist stocks and mutual funds to stay updated

Manish Jain Portfolio: Sector Allocation

Industrial Gases

The Manish Jain portfolio shows exposure to the industrial gases sector through a company that supplies gases used across industries such as steel, healthcare, chemicals, and electronics. Industrial gases form a critical input for multiple manufacturing and medical processes.

Water and Environmental Infrastructure

Another allocation appears in a company involved in engineering, procurement, and construction projects related to water treatment and sanitation infrastructure. The business focuses on projects such as sewage treatment plants, water treatment facilities, and environmental infrastructure.

Healthcare and Biosciences

The Manish Jain portfolio also includes exposure to veterinary biosciences. Companies in this segment manufacture vaccines and healthcare products for poultry, livestock, and companion animals, serving the growing animal healthcare and livestock management industry.

Education and Financial Services

Exposure to the education sector appears through businesses involved in test preparation and digital learning platforms. Related financial services entities operate alongside these education businesses to support their operations and funding structure.

Conclusion

The Manish Jain portfolio, based on public shareholding disclosures, includes 13 stocks with a combined value of over ₹2,043.5 Cr as of December 2025. The portfolio covers sectors such as industrial gases, water infrastructure, veterinary biosciences, education, agri-business, and consumer goods. These holdings reflect exposure to both industrial and domestic economy-linked businesses.

Public portfolio disclosures help investors understand sector exposure and market participation. However, investors should treat this information as reference data rather than a guide for investment decisions.

For independent stock analysis, investors can use the Tickertape Stock Screener. It offers 200+ filters to analyse companies based on fundamentals, valuations, and financial strength. Investors can also track major stock activity and investor movements through Tickertape Market Movers.

Frequently Asked Questions About the Manish Jain Portfolio

  1. What is Manish Jain's portfolio in 2026?

    As per corporate shareholdings filed for December 31, 2025, investors named Manish Jain publicly hold 13 stocks with a combined disclosed net worth of over ₹2,043.5 cr. The portfolio spans sectors such as industrial gases, water infrastructure, veterinary biosciences, education services, agri-business, electronics, engineering, housing finance, and real estate.

  2. What are the top stocks in Manish Jain's portfolio in 2026?

    As per the latest disclosed shareholding data (December 2025), top stocks in Manish Jain's portfolio based on value include:
    1. Linde India Ltd
    2. Enviro Infra Engineers Ltd
    3. Hester Biosciences Ltd
    4. MRP Agro Ltd
    5. Career Point Ltd

  3. Where can I check the Manish Jain latest portfolio?

    You can track Manish Jain latest portfolio through quarterly shareholding data published by Indian stock exchanges and market-tracking platforms. Investors can also track portfolio changes, bulk and block deals, and other major stock activity using tools like Tickertape Market Movers.

  4. What is the net worth of Manish Jain?

    As per corporate shareholdings filed for December, 2025, Manish Jain has a publicly disclosed equity portfolio valued at over ₹2,043.5 cr. As per corporate shareholdings filed for December 31, 2025, the portfolio includes 13 publicly disclosed stocks across multiple sectors of the Indian economy.

  5. What sectors does Manish Jain invest in?

    Manish Jain's disclosed portfolio spans sectors such as industrial gases, water and environmental infrastructure, veterinary biosciences, education and EdTech, agri-business, financial services, electronics, precision engineering, consumer goods, and real estate.