How often is Ashish Dhawan's portfolio updated?
Portfolios are updated quarterly based on the shareholding patterns filed by listed companies with the BSE and NSE.
What are the latest stock additions to Ashish Dhawan's portfolio in the latest quarter?
No new stock additions to Ashish Dhawan's portfolio in Dec 2025.
In which stocks did Ashish Dhawan increase stake recently?
Ashish Dhawan increased stake in BLUSPRING by 0.88% (from 4.09% to 4.97%), EQUITASBNK by 0.05% (from 3.97% to 4.02%) in the current quarter (Dec 2025). This typically indicates increasing conviction in the company’s growth.
In which stocks did Ashish Dhawan exit or sell recently?
Ashish Dhawan exited or reduced holdings in IDFCFIRSTB by -1.26% (from 1.26% to 0.00%) in the current quarter (Dec 2025). Note that an exit doesn't always mean a bad outlook; it could be profit booking or rebalancing.
On which sectors is Ashish Dhawan bullish right now?
Based on current portfolio concentration, Ashish Dhawan has the highest exposure to the undefined sector (NaN Cr).
Who is Ashish Dhawan and how has the investing journey been?
Ashish Dhawan is an Indian investor known for building a public-equity track record before focusing more on philanthropy and education initiatives. His earlier portfolio disclosures were closely tracked for quality and long-term bets. He is recognized for a thoughtful, research-intensive investing style.
What is the investment philosophy of Ashish Dhawan?
Quality growth with strong governance. Preference for businesses with predictable cash flows, durable moats, and sensible capital allocation—backed by patience, a long horizon, and disciplined risk control.
What is the total net worth of Ashish Dhawan's public portfolio?
The total value of tracked holdings of Ashish Dhawan is approximately ₹ 1,924.07 Cr (13 stocks).
Why is some data in the titan tracker awaited or delayed?
Companies are only required to disclose shareholders holding >1% stake at the end of every quarter. Small trades below this threshold are not publicly visible. If a stock has not yet released shareholding data for the most recent quarter, the portfolio will reflect data from the last available quarter.