MANOJ AGARWALPublic
Whole-market shareholding · as of Jun 2026
₹ 137 cr
Portfolio value
20
Companies
Public
Mostly held as
Sector allocation
- Packaging50%
- Chemicals29%
- Automobile and Auto Components5%
- Capital Goods3%
- Services3%
- Textiles2%
- Other7%
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3 / 20
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All holdings 3 / 20
| Company | Sub-industry | 8-qtr trend | |||||
|---|---|---|---|---|---|---|---|
| Accent Microcell LtdJun '26 | Specialty Chemicals | 2.32% | Mar '24 · 10q | ₹ 38 cr | New | ||
| Cln Energy LtdMar '26 | Auto Components & Equipments | 1.22% | Mar '26 · 1q | ₹ 6 cr | New | ||
| Kanpur Plastipack LtdJun '26 | Packaging | 11.66% | Jun '18 · 33q | ₹ 68 cr | · |