MANOJ AGARWALPublic
Whole-market shareholding · as of Jun 2026
₹ 113 cr
Portfolio value
21
Companies
Public
Mostly held as
Sector allocation
- Packaging48%
- Chemicals26%
- Automobile and Auto Components6%
- Textiles5%
- Capital Goods3%
- Services3%
- Other8%
See the full portfolio
3 / 21
Sign in - free - to see every holding, this quarter's moves and the full track record.
Sign in to continueAll holdings 3 / 21
| Company | Sector | 8-qtr trend | |||||
|---|---|---|---|---|---|---|---|
| Accent Microcell Ltd | Chemicals | 2.31% | Mar '24 · 9q | ₹ 28 cr | New | ||
| Kanpur Plastipack Ltd | Packaging | 11.65% | Jun '18 · 32q | ₹ 54 cr | +1.23 | ||
| Cln Energy Ltd | Automobile and Auto Components | 1.22% | Mar '26 · 1q | ₹ 7 cr | New |