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Akash Bhanshali Portfolio Vs Sunil Singhania Portfolio

The main difference between Akash Bhanshali and Sunil Singhania’s portfolios lies in sectoral preference and investment size. Bhanshali invests ₹5,851.3 crore across 20 stocks, focusing on industrials and infrastructure, while Singhania holds ₹2,439.3 crore in 23 stocks, emphasizing mid-cap consumer, tech and manufacturing companies for growth.

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Who is Akash Bhanshali?

Akash Bhanshali is a seasoned Indian investor known for his expertise in identifying high-potential stocks, primarily in mid-cap and small-cap segments. He is associated with Enam Holdings, a reputed investment firm. His portfolio focuses on industrials, infrastructure and financial services for sustainable long-term growth.

Bhanshali follows a value-driven investment strategy, emphasizing strong fundamentals and steady growth over speculative trading. He prefers holding a concentrated portfolio and investing in businesses with strong management, robust financials and future scalability. His research-driven approach sets him apart from short-term traders.

With a net worth exceeding ₹5,851.3 crore, Bhanshali strategically manages a portfolio of 20 stocks. His investment decisions and stake adjustments in various companies are closely tracked by market participants, making him an influential figure in India’s investment landscape.

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Who is Sunil Singhania?

Sunil Singhania is a renowned Indian investor and the founder of Abakkus Asset Manager LLP, a boutique investment firm specializing in equity investments. He was previously the CIO of Reliance Mutual Fund, where he played a crucial role in shaping India’s mutual fund industry.

Singhania follows a growth-oriented investment strategy, focusing on small-cap and mid-cap stocks with high scalability. His portfolio includes diverse sectors such as manufacturing, financial services and consumer goods. His ability to identify emerging opportunities has made him a respected figure in the Indian stock market.

With a net worth of over ₹2,439.3 crore, Singhania holds 23 stocks, demonstrating a well-diversified approach. His investment insights and market strategies are closely watched by retail and institutional investors, making him a significant player in India’s financial landscape.

What Is The Qualification of Akash Bhanshali?

Akash Bhanshali holds a Master’s degree in Commerce and is a certified Chartered Accountant. His solid academic foundation equips him with extensive financial knowledge, allowing him to assess market trends and identify promising investment opportunities across multiple sectors for sustainable wealth growth.

His expertise in financial management enables him to make strategic investment choices, carefully balancing risk and returns. Utilizing his deep understanding, he targets undervalued stocks with strong fundamentals, establishing himself as a key investor in India’s stock market with a research-driven and disciplined approach.

What Is The Qualification of Sunil Singhania?

Sunil Singhania holds a commerce degree from Bombay University and is a qualified Chartered Accountant from ICAI, Delhi, securing an all-India rank. His academic excellence has provided him with a strong foundation in financial analysis, investment strategies and market evaluation.

Additionally, he has earned the prestigious Chartered Financial Analyst (CFA) designation from the CFA Institute, further enhancing his expertise in global investment management. His qualifications enable him to make well-researched, strategic investment decisions, making him a highly respected figure in India’s stock market.

Investing Strategies – Akash Bhanshali vs. Sunil Singhania

The main difference between Akash Bhanshali and Sunil Singhania’s investing strategies lies in risk appetite and sector focus. Bhanshali follows a value-investing approach, emphasizing long-term holdings in infrastructure and financial services, while Singhania takes a diversified, high-growth approach, focusing on emerging businesses in technology, consumer and industrial sectors.

AspectAkash BhanshaliSunil Singhania
Investment ApproachPrefers value investing with a long-term focus on stable businesses.Focuses on high-growth stocks with diversified exposure across sectors.
Sector PreferenceMajor holdings in infrastructure, manufacturing and financial services.Invests in technology, consumer and industrial sectors.
Risk AppetiteConservative, prioritizing fundamentally strong, undervalued stocks.Higher risk, investing in fast-growing companies and emerging sectors.
Stock SelectionChooses select, well-researched stocks with solid balance sheets.Prefers a broader portfolio with a mix of mid-cap and large-cap stocks.
Market InfluenceKnown for a concentrated, research-driven portfolio.Recognized for identifying multi-bagger stocks and sectoral trends.

Akash Bhanshali Portfolio Vs Sunil Singhania Portfolio Holdings

Akash Bhanshali held 20 stocks, primarily investing in mid-cap and small-cap companies within the infrastructure, financial services and manufacturing sectors. Sunil Singhania’s 23-stock portfolio focused on high-growth opportunities in technology, consumer and industrial sectors, with a diversified approach aimed at identifying emerging businesses with strong future potential.

AspectAkash BhanshaliSunil Singhania
Total Stocks Held2023
Net Worth₹5,851.3 Crore₹2,439.3 Crore
Top HoldingsAarti Drugs, APL Apollo, Ion ExchangeMastek, Route Mobile, Jindal Stainless
Sector FocusIndustrials, InfrastructureConsumer, manufacturing, tech
Stock TypeLarge-cap, high-growthMid-cap, growth-focused
Latest BuyDilip Buildcon (0.07%)Hindware Home Innovation (0.11%)
Latest SellPraxis Home Retail (-0.23%)HIL Ltd. (-0.83%)

Performance of Akash Bhanshali Portfolio Over 3 Years

Over the past three years, Akash Bhanshali’s portfolio has experienced remarkable growth. In March 2022, it was valued at ₹2,880.46 crore, rising to ₹5,851.25 crore by March 2025. This impressive increase highlights his strategic focus on mid-cap stocks with strong growth potential.

With a surge of approximately 103.2% during this period, Bhanshali’s investments have demonstrated significant upward momentum. His emphasis on infrastructure, financial services and manufacturing stocks has played a key role in driving portfolio expansion, benefiting from India’s economic progress and favourable market trends.

Despite market volatility, Bhanshali’s disciplined investment approach and stock-picking expertise have delivered substantial returns. His commitment to value-driven and growth-focused opportunities has ensured consistent performance, making his portfolio a valuable reference for investors aiming for long-term wealth creation.

Performance of Sunil Singhania Portfolio Over 3 Years

Over the past three years, Sunil Singhania’s portfolio has shown modest growth. In March 2022, the portfolio was valued at ₹2,326.29 crore, rising to ₹2,439.34 crore by March 2025. This reflects a growth of approximately 4.9%, indicating a stable investment approach.

Despite a relatively lower increase, Singhania’s strategy focuses on long-term value creation. His investments in sectors like consumer goods, financial services and industrials have contributed to steady performance. Market fluctuations and economic conditions played a role in influencing the portfolio’s overall growth trajectory.

Singhania’s disciplined investment style ensures consistency, even during uncertain market phases. His focus on fundamentally strong companies and strategic asset allocation has helped maintain portfolio stability. This measured approach makes his investment philosophy appealing to those prioritizing risk management and sustainable returns.

How to Invest in Akash Bhanshali and Sunil Singhania Portfolio Stocks?

If you are looking to invest in Akash Bhanshali and Sunil Singhania Portfolio Stocks, you can easily do so through Alice Blue, where purchasing stocks is absolutely free with zero brokerage on equity delivery trades.

Step 1: Open a Demat & Trading Account

  • Visit Alice Blue’s website
  • Click on “Open Demat Account” and complete the registration.
  • Upload your PAN, Aadhaar and bank details for verification.

Step 2: Add Funds to Your Trading Account

  • Log in to Alice Blue and go to the Funds section.
  • Add money via UPI, Net Banking, or NEFT/RTGS for smooth transactions.

Step 3: Search & Analyze Akash Bhanshali and Sunil Singhania Portfolio Stocks

  • Use the search bar to find Akash Bhanshali and Sunil Singhania Portfolio shares.
  • Check the market price, charts and company details before investing.

 Step 4: Place Your Buy Order

  • Click Buy and choose Market Order (instant purchase) or Limit Order (buy at your set price).
  • Enter the quantity and confirm your order.

Akash Bhanshali Portfolio Vs Sunil Singhania Portfolio – Conclusion

Akash Bhansali (Ace Investor 1) strategically invests in mid-cap and small-cap companies, focusing on infrastructure, financial services and manufacturing. His key holdings include leading firms in these sectors. Recently, he increased his stake in Dilip Buildcon Ltd., reinforcing confidence in the construction and engineering space while trimming exposure to Praxis Home Retail Ltd.

Sunil Singhania (Ace Investor 2) follows a diversified investment strategy, emphasizing consumer goods, financial services and industrials. His portfolio includes strong holdings across these sectors. Recently, he raised his stake in Hindware Home Innovation Ltd., signalling optimism in the home solutions industry, while reducing exposure to HIL Ltd.

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Akash Bhanshali Portfolio Vs Sunil Singhania Portfolio – FAQ

What is Akash Bhanshali’s Best Portfolio?

Akash Bhanshali’s best portfolio consists of high-growth industrial and infrastructure stocks. His top holdings include Aarti Drugs, APL Apollo and Ion Exchange, reflecting a focus on long-term value. His investment strategy balances large-cap stability with emerging sector opportunities.

What is Sunil Singhania’s Best Portfolio?

Sunil Singhania’s best portfolio emphasizes mid-cap growth stocks in consumer, manufacturing and tech sectors. His top investments include Mastek, Route Mobile and Jindal Stainless. His strategy revolves around identifying high-potential stocks early, ensuring long-term capital appreciation.

What Is The Net Worth Of Akash Bhanshali?

As of the latest filings, Akash Bhanshali’s portfolio is valued at ₹5,851.3 crore. His strategic investments in industrial and infrastructure sectors have significantly grown over time, positioning him among India’s prominent investors with a diversified and high-growth stock portfolio.

What Is The Net Worth Of Sunil Singhania?

Sunil Singhania’s net worth from publicly held stocks is ₹2,439.3 crore. His diversified portfolio focuses on mid-cap consumer, tech and manufacturing stocks. Despite market fluctuations, his expertise in identifying promising companies has helped him maintain steady portfolio growth.

What Is The Rank Of Akash Bhanshali In India?

Akash Bhanshali ranks among India’s top investors, recognized for his strategic investments in industrials and infrastructure. While exact rankings fluctuate with market changes, his substantial net worth and portfolio value place him in an elite group of stock market investors.

What Is The Rank Of Sunil Singhania In India?

Sunil Singhania is a well-regarded investor in India, known for his expertise in mid-cap stocks. While specific rankings vary, his investment acumen and portfolio performance make him one of India’s most successful fund managers and stock market experts.

Which Sector Did Akash Bhanshali Majorly Hold Stake In?

Akash Bhanshali primarily invests in the industrial and infrastructure sectors. His portfolio includes companies involved in construction, chemicals and manufacturing, focusing on high-growth opportunities that offer strong long-term potential and stability in India’s expanding economy.

Which Sector Did Sunil Singhania Majorly Hold Stake In?

Sunil Singhania’s portfolio focuses on mid-cap consumer, tech and manufacturing sectors. He seeks companies with strong fundamentals and high growth potential, leveraging his expertise to capitalize on emerging trends in India’s evolving market landscape.

How to Invest in Akash Bhanshali and Sunil Singhania’s Stocks?

To invest in their stocks, open a brokerage account with Alice Blue, track their latest holdings and analyze valuations and trends. Bhanshali’s portfolio suits those seeking industrial growth, while Singhania’s mid-cap focus benefits investors looking for emerging sector opportunities with high returns.

Disclaimer: The above article is written for educational purposes and the companies’ data mentioned in the article may change with respect to time. The securities quoted are exemplary and are not recommendatory.

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