Vijay Kishanlal Kedia

Vijay Kishanlal Kedia's portfolio and holdings

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Vijay Kedia's portfolio is among the most followed in the Indian market, both due to his reputation as a "market master" and the historical returns his portfolio has delivered over the years.

He began investing in the stock market at the age of 19 and started Kedia Securities in 1992, when he was 33. 

Speaking about his investment rationale, Kedia says, “One should scout for companies which have good management. Find very good, very honest management and see the product in which the management is going to outperform its peers and the economy. Invest in those companies for the next 10-15 years, and you cannot go wrong." He uses the SMILE approach in his portfolio investments – ‘small in size, medium in experience, large in aspiration, and extra-large in market potential’.

Vijay Kedia grew up in a family whose profession was stock-broking. He recognized his passion for investing in stock markets as a teenager, and says that he hasn't looked back since. 

As per corporate shareholdings filed for December 31, 2015, Vijay Kishanlal Kedia publicly holds 14 stocks with a net worth of over Rs. 264.9 Cr.

These are shares held by Vijay Kishanlal Kedia as per the shareholding data filed with the exchanges. The latest quarter tends to have missing data since not all companies may have reported their shareholding data till now.

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Expand Stock Qty Held Dec 2015 Change % Dec 2015 Holding % History DetailsRow
Amrutanjan Health Care 445,331 None 3.0%
Apar Industries 402,142 None 1.0%
Apcotex Industries 231,814 None 1.1%
Aries Agro 598,091 None 4.6%
Astec Lifesciences 200,000 None 1.0%
Atul Auto 253,451 None 1.2%
Cera Sanitaryware 250,000 None 1.9%
Repro 673,416 None 6.2%
Sudarshan Chemical 2,642,479 None 3.8%
Panasonic Energy 93,004 None 1.2%
TCPL Packaging 119,961 None 1.4%
Premier Explosives 100,000 None 1.1%
Cheviot Company 50,000 None 1.1%
Lykis 5,713,818 None 31.0%