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Latest Shivani Tejas Trivedi Portfolio and Shareholdings

As per public disclosures, Shivani Tejas Trivedi’s equity portfolio is at ₹877.92 cr, currently spread across 11 active stocks. Her picks frequently emerge from specialised corners of the market, such as chemicals, engineering, electronics, and industrial manufacturing, areas where ownership shifts can signal rising institutional interest. Let’s take a closer look at how Shivani Tejas Trivedi distributes capital across her disclosed holdings.

Latest Shivani Tejas Trivedi Stock Portfolio & Holdings (2026)

Shivani Tejas Trivedi Portfolio Stock Screener

Shivani Tejas Trivedi Portfolio Stock Screener: Analyse & Filter Indian Stocks on Tickertape

Showing 1 - 11 of 11 results

last updated at 6:30 AM IST 
NameStocks (11)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.Astrazeneca Pharma India LtdASTRAZENPharmaceuticalsPharmaceuticals22,122.5022,122.508,849.008,849.00191.14191.140.000.007.197.196.246.2428.4228.4228.7228.7215.6215.6219.3619.360.360.360.050.052.532.53
2.Atul LtdATULDiversified ChemicalsDiversified Chemicals19,221.0519,221.056,674.006,674.0039.7239.722.232.2314.2214.225.745.7424.7724.773.393.398.948.9411.7511.750.380.380.040.042.422.42
3.Nocil LtdNOCILCommodity ChemicalsCommodity Chemicals2,485.672,485.67144.51144.5124.1724.17-2.90-2.9013.0813.08-18.00-18.00-20.55-20.551.411.415.945.946.116.111.341.340.010.012.732.73
4.Thirumalai Chemicals LtdTIRUMALCHMCommodity ChemicalsCommodity Chemicals2,348.132,348.13191.13191.13-50.94-50.94-1.87-1.870.670.67-35.65-35.65-11.04-11.042.032.03-4.01-4.010.290.29--1.551.553.153.15
5.D Link (India) LimitedDLINKINDIATechnology HardwareTechnology Hardware1,456.591,456.59422.50422.5013.9713.972.992.9911.2911.29-11.83-11.8310.7810.783.063.0622.9022.9029.4329.434.884.880.010.013.013.01
6.Control Print LtdCONTROLPRElectronic EquipmentsElectronic Equipments1,049.621,049.62659.20659.2010.4910.490.450.45-2.64-2.64-14.59-14.5910.0310.032.552.5526.8026.8016.3816.381.521.520.020.022.902.90
7.Tamilnadu Petroproducts LtdTNPETROCommodity ChemicalsCommodity Chemicals856.35856.3593.9693.9614.6814.68-1.28-1.283.033.03-10.71-10.7135.7435.740.940.946.596.597.687.681.261.260.150.153.043.04
8.High Energy Batteries (India) LtdHIGHENEAerospace & Defense EquipmentsAerospace & Defense Equipments487.95487.95540.30540.3031.8331.83-0.74-0.740.430.43-18.03-18.0314.5614.564.904.9016.3716.3721.4521.450.550.550.110.114.174.17
9.ABM Knowledgeware LtdABMKNOSoftware ServicesSoftware Services463.75463.75221.30221.3032.2332.23-4.55-4.55-13.25-13.2536.6036.6041.0041.001.931.936.166.168.908.900.580.580.000.004.234.23
10.K G Denim LtdKGDENIMTextilesTextiles42.6142.6116.9516.95-1.19-1.191.991.998.938.93-16.99-16.99-0.88-0.88-3.44-3.44-1,099.08-1,099.08-9.73-9.73----4.304.30
11.Sambandam Spinning Mills LtdSAMBANDAMTextilesTextiles41.1141.1198.0098.00-5.60-5.601.661.66-6.49-6.49-15.19-15.19-29.32-29.320.480.48-8.28-8.281.501.50--1.391.394.704.70

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 Shivani Tejas Trivedi investment portfolio as on 10th February 2026. Stocks are sorted by market capitalisation, highest to lowest.

Shivani Tejas Trivedi’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 Shivani Tejas Trivedi:

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

Investor Profile – Shivani Tejas Trivedi

Shivani Tejas Trivedi is a publicly tracked Indian equity investor whose name appears across multiple mid- and small-cap shareholding disclosures. Market data based on the latest filings values her portfolio at ₹877.92 cr, with 11 active stocks out of 14 total holdings. Her portfolio history often shows continuity across reporting periods, pointing to measured conviction and longer holding horizons.

  1. Net worth (public equity holdings): ₹877.92 cr
  2. Active stocks: 11
  3. Total stocks disclosed: 14
  4. Typical market-cap focus: Mid and small caps
  5. Common sectors: Chemicals, engineering, defence suppliers, electronics, industrial products, niche technology

Top Stocks in Shivani Tejas Trivedi Portfolio (2026)

Astrazeneca Pharma India Ltd

AstraZeneca Pharma India Ltd operates in the pharmaceutical sector and focuses on speciality and chronic therapies such as oncology, cardiovascular, and respiratory care. The company markets innovative medicines in India and benefits from rising demand for advanced treatments.

Atul Ltd

Atul Ltd manufactures chemicals used in industries like agriculture, pharmaceuticals, textiles, and polymers. It runs a diversified product portfolio and serves both domestic and global customers, which links performance to industrial and export demand.

Nocil Ltd

NOCIL Ltd is a rubber chemicals manufacturer supplying the tyre and automotive industries. Demand for its products usually follows vehicle production trends and replacement tyre markets in India and overseas.

D-Link (India) Ltd

D-Link (India) Ltd provides networking and connectivity equipment such as routers, switches, and surveillance solutions. Growth in digital infrastructure, broadband expansion, and enterprise IT upgrades influences its business environment.

Thirumalai Chemicals Ltd

Thirumalai Chemicals Ltd produces industrial chemicals, including phthalic anhydride and food ingredients. Its operations connect with plastics, resins, paints, and FMCG supply chains.

Shivani Tejas Trivedi Portfolio Composition

Here is a list of active stocks publicly held by Shivani Tejas Trivedi as of February 2026:

Stock Name Holding Value (in Cr.) Shares Held Dec 2025 Change (%) Dec 2025 Holding (%) Sep 2025 Holding (%)
Astrazeneca Pharma India Ltd 536.1 600,299 0 2.40% 2.40%
Atul Ltd 195.9 294,500 0 1.00% 1.00%
Nocil Ltd 31.1 2,086,242 0 1.30% 1.30%
D Link (India) Limited 30.3 729,300 0 2.10% 2.10%
Thirumalai Chemicals Ltd 27.5 1,355,953 -1.1 1.10% 2.20%
Tamilnadu Petroproducts Ltd 17.5 1,842,500 0 2.10% 2.10%
Control Print Ltd 15.9 246,466 0 1.50% 1.50%
ABM Knowledgeware Ltd 14.3 567,168 0 2.80% 2.80%
High Energy Batteries (India) Ltd 9.6 170,756 0.4 1.90% 1.50%
Sambandam Spinning Mills Ltd 2.1 198,428 0 4.70% 4.70%
K G Denim Ltd 1.4 830,853 0 3.20% 3.20%

How to Invest in Shivani Tejas Trivedi Portfolio Stocks?

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Shivani Tejas Trivedi Net Worth

Public shareholding disclosures place the value of Shivani Tejas Trivedi’s tracked listed equity portfolio at ₹877.92 cr. based on the latest available filings. The number can change every quarter due to price movements, stake changes, corporate actions, or fresh entries and exits. It also does not capture unlisted investments, privately held assets, or interests routed through entities.

Shivani Tejas Trivedi's Investment Strategy

Focus on Less-Crowded Businesses

Shivani Tejas Trivedi often buys companies that sit outside the popular large-cap universe. Many of her names come from chemicals, engineering, electronics, and industrial manufacturing. She looks comfortable in areas where fewer participants track developments.

Takes Meaningful Positions

Shivani Tejas Trivedi's holdings usually cross public disclosure limits. She does not keep tiny tracking allocations. She commits capital in size when she gains confidence in the business.

Shows Patience Across Quarters

Several stocks remain in her portfolio for long periods. She allows business performance to evolve instead of reacting to short-term price moves. Repeated appearances in filings highlight this behaviour.

Prefers Mid and Small Companies

Most of her exposure lies in the mid- and small-cap space. These firms may have narrower analyst coverage but often offer sharper visibility into promoter action, capacity expansion, or order flows.

Steps In During Difficult Phases

Shivani Tejas Trivedi's name has surfaced in companies that faced earnings pressure or weak sentiment. This action suggests she becomes comfortable entering when expectations stay low, but long-term potential remains.

Diversifies With a Pattern

While Shivani spreads capital across multiple sectors, the businesses usually share common characteristics such as manufacturing depth, export linkages, or specialised product lines. The diversification, therefore, stays structured rather than random.

Learnings from the Shivani Tejas Trivedi Portfolio in 2026

Specialised Sector Comfort

Her disclosed holdings repeatedly show up in areas like chemicals, batteries, paper, industrials, and niche manufacturing. This mix signals interest in businesses that need deeper research and often sit outside the most crowded large-cap trades.

Meaningful Ownership

Her name appears at disclosure levels in multiple companies, which indicates she builds positions that matter in size. Market trackers list her holdings with percentage stakes and quantities, which makes the ownership-first nature of the portfolio visible.

Patience Across Quarters

Several positions in Shivani Tejas Trivedi's portfolio remain visible across many filing periods. This repeated presence suggests she holds through cycles instead of rotating rapidly based on short-term price action.

Selective Adds And Trims

Filings also show she adjusts stakes rather than keeping everything static. Updates across quarters highlight both increases and reductions, reflecting active monitoring alongside long holding periods.

Entries During Tough Phases

Public coverage highlights buyouts in companies facing profit pressure. This pattern suggests she sometimes builds exposure when business numbers look weak, and market sentiment stays cautious.

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Factors Affecting Stock Selection in the Shivani Tejas Trivedi Portfolio

Business Strength

Shivani chooses companies that show steady operations, reasonable margins, and manageable balance sheets. Even when a business sits in a less popular segment, basic financial stability seems important in its selections.

Preference For Niche Segments

Shivani Tejas Trivedi's portfolio often features specialised industries such as chemicals, engineering products, electronics, and industrial manufacturing. She appears comfortable going where coverage remains limited, but expertise can create an edge.

Focus on Mid And Small Companies

Most positions come from the mid- and small-cap universe. She looks at businesses where growth, capacity addition, or market expansion can change earnings over time.

Attention to Valuations

Shivani’s entries sometimes appear when sentiment looks weak or when expectations remain muted. This behaviour suggests she waits for prices to offer comfort before building exposure.

Management And Promoter Quality

Several investments belong to groups with long operating backgrounds. Promoter credibility, execution history, and the ability to navigate cycles likely influence her willingness to maintain exposure over multiple quarters.

Visibility of Growth

Shivani seems to favour companies where business triggers stay identifiable. Order inflows, export demand, technology upgrades, or product specialisation provide reasons to remain patient with holdings.

Conclusion

Shivani Tejas Trivedi’s portfolio reflects structured allocation, steady conviction, and comfort in areas that require deeper understanding. The approach combines valuation awareness with a readiness to stay aligned with long operating journeys.

At the same time, every portfolio represents personal capital, individual risk tolerance, and access to information. One investor’s allocation framework may not automatically fit another participant’s objectives. For better analysis of these stocks, investors can use Tickertape Stock Screener, which offers 200+ filters to analyse each stock based on various parameters and metrics.

Frequently Asked Questions About the Shivani Tejas Trivedi Portfolio

  1. Who is Shivani Tejas Trivedi?

    Shivani Tejas Trivedi is an Indian equity investor whose name appears in public shareholding disclosures across several mid- and small-cap companies. Market participants track her filings to understand allocation patterns and conviction levels.

  2. What is the net worth of Shivani Tejas Trivedi?

    Based on recent publicly available shareholding data, the value of her disclosed listed equity portfolio stands at ₹877.92 cr. This figure reflects only reportable holdings and can change with prices and filings.

  3. How many stocks does she currently hold?

    Public Shivani Tejas Trivedi shareholding disclosures indicate that Shivani Tejas Trivedi currently has 11 active positions from a broader universe of 14 tracked holdings. These Shivani Tejas Trivedi investments can change from quarter to quarter as prices fluctuate, stake sizes shift, or companies move above or below mandatory reporting thresholds.

  4. Which sectors appear frequently in her portfolio?

    Her investments often show up in speciality chemicals, engineering, electronics, batteries, and industrial manufacturing. Many of these operate in niche segments with limited mainstream coverage.

  5. What are the stocks in Shivani Tejas Trivedi's portfolio?

    As per the latest filings as of February 2026, Shivani Tejas Trivedi's top publicly disclosed investments include:
    1. Astrazeneca Pharma India Ltd
    2. Atul Ltd
    3. Nocil Ltd
    4. D-Link (India) Ltd
    5. Thirumalai Chemicals Ltd

    Disclaimer: This information is for educational purposes only and should not be considered investment advice.