Harsha Hitesh Javeri is a publicly disclosed Indian market investor/shareholder whose listed-equity holdings can be tracked through exchange shareholding filings. Their portfolio is followed for stake changes, new additions, and exits across quarters. Sharpely’s Titan Tracker helps you see these holdings and trends in one place.
Frequently Asked Questions about Harsha Hitesh Javeri's Portfolio
Portfolios are updated quarterly based on the shareholding patterns filed by listed companies with the BSE and NSE.
The latest stock additions to Harsha Hitesh Javeri's portfolio in Jun 2026 are 531324-BOM
Harsha Hitesh Javeri increased stake in 531324-BOM by 2.00% (from 0.00% to 2.00%) in the current quarter (Jun 2026). This typically indicates increasing conviction in the company’s growth.
Harsha Hitesh Javeri exited or reduced holdings in GARGFUR by -1.30% (from 1.30% to 0.00%) in the current quarter (Jun 2026). Note that an exit doesn't always mean a bad outlook; it could be profit booking or rebalancing.
Based on current portfolio concentration, Harsha Hitesh Javeri has the highest exposure to the Chemicals sector (38.94 Cr).
Harsha Hitesh Javeri is a publicly disclosed Indian market investor/shareholder whose listed-equity holdings can be tracked through exchange shareholding filings. Their portfolio is followed for stake changes, new additions, and exits across quarters. Sharpely’s Titan Tracker helps you see these holdings and trends in one place.
Generally a fundamentals-first, risk-aware approach: prefer businesses with strong financials and management quality, buy at sensible valuations, and let compounding work over time. Portfolio changes reflect conviction, risk management, and evolving market cycles.
The total value of tracked holdings of Harsha Hitesh Javeri is approximately ₹ 126.47 Cr (33 stocks).
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.