Madhusudan Kela Portfolio, Net Worth 2024

Madhusudan Kela Portfolio, Net Worth 2024


Madhusudan Kela is a well-known Indian investor and businessman from Kurud, Chhattisgarh with over 30 years of experience in sell-side and buy-side investment mandates. He has held various positions, including Chief Investment Officer at Reliance Capital Limited and promoter of MK Ventures. In this article, we will delve deeper into Madhusudan Kela portfolio, net worth, and investment style and explore what makes her stand out from other investors.

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Who is Madhusudan Kela?

Madhusudan Kela earned his Masters in Management Studies from K. J. Somaiya Institute of Management Studies and Research (SIMSR) in Mumbai in 1991. His career began in equity research at CIFCO and Sharekhan. In 1994, he joined Motilal Oswal to establish its institutional desk. He transitioned to UBS in 1996 and eventually joined Reliance Mutual Fund in 2001.

In 2004, Madhusudan Kela was honored with the Business Standard Equity Fund Manager of the Year Award by Prime Minister Manmohan Singh. His career at Reliance Capital Asset Management Company saw a steady ascent, culminating in his appointment as Chief Investment Officer in 2008. By 2018, he advanced to the position of Chief Investment Strategist, where he oversaw the company’s investment portfolio and offered strategic investment guidance.

Madhusudan Kela Portfolio

In this capacity, he crafted investment strategies for the company and led a team of analysts and fund managers. Later, he departed from Reliance to establish his proprietary investment firm, MK Ventures. Additionally, he acquired a listed NBFC and renamed it MKVentures Capital Limited. Currently, he serves as the promoter of MKVentures and sits on the board of various companies.

Kela’s insights and expertise are highly sought after by top business news channels in India, including CNBC TV18, ET Now, Bloomberg, BTVI, CNBC Awaaz, and Zee Business. He frequently appears as a panelist at investment forums and major conferences organized by industry bodies such as FICCI, CII, and ICAI, as well as both domestic and international institutions related to capital markets.

He is also active in various social and religious causes and serves as a founder and trustee of Plaksha University.

Drawing inspiration from the esteemed investor Rakesh Jhunjhunwala

Madhusudan Murlidhar Kela unveils the layers of his investment philosophy, emphasizing the importance of emotional control in long-term investments. He highlights the value of learning from a variety of sources and credits Jhunjhunwala for significantly shaping his investment acumen, showcasing the camaraderie among financial maestros.

“I was also influenced by Peter Bregman’s book, 18 Minutes. It provides actionable insights to improve efficiency in different aspects of your life,” Kela remarks, underscoring the multidimensional approach he adopts in his investment strategy.

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Portfolio Diversification of Madhusudan Kela

Madhusudan Kela’s portfolio reflects a meticulously planned diversification strategy. Spanning various sectors such as Finance, Textiles, Pharmaceuticals, Capital Goods, Printing & Publication, Consumer Services, and Information Technology, Kela’s approach aims to balance risk and opportunity while capitalizing on the growth potential in diverse industries. This diversification strategy underscores his investment philosophy of effectively managing risk and seizing growth prospects across different sectors.

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Madhusudan Kela Portfolio – Top Holdings

Company Shares held Stock price (INR) Value (INR crore)
Choice International Ltd. 24,000,000 388.5 932.28
MKVentures Capital Ltd. 2,858,027 2,112.2 603.66
Transformers & Rectifiers (India) 3,140,390 754.0 236.79
Sangam (India) Ltd. 2,440,699 405.2 98.90
IndoStar Capital Finance 3,379,834 243.1 82.16
Bombay Dyeing & Manufacturing 3,416,600 218.4 74.62
Rashi Peripherals Ltd. 1,607,717 460.6 74.04
Samhi Hotels Ltd. 3,748,681 187.6 70.31
Niyogin Fintech Ltd. 5,020,000 69.0 34.64
Repro India Ltd. 475,000 631.1 29.97
Kopran Ltd. 500,000 259.0 12.95

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Performance Metrics of Madhusudan Kela Portfolio

Madhusudan Kela’s portfolio performance metrics provide valuable insights into the investment strategies and outcomes of this renowned investor.

  • Sectoral Allocation: The sectoral allocation strategy indicates the sectors Kela is bullish on, offering clues about his market outlook and investment thesis.
  • Portfolio Composition Changes: Monitoring changes in the portfolio’s composition provides insights into Kela’s adaptive strategy and adjustments to market dynamics and opportunities.
  • Stock Selection Criteria: Analysis of individual stock selections highlights Kela’s criteria for identifying investment opportunities, shedding light on his investment philosophy and process.
  • Consistent Returns: The portfolio demonstrates consistent returns over time, reflecting the effectiveness of Kela’s investment approach and decision-making.
  • Benchmark Performance: Comparing the portfolio’s performance against relevant benchmarks helps assess Kela’s skill in outperforming market indices and peers in the industry.
  • Risk Management: The portfolio’s risk management practices reveal how Kela mitigates investment risks and preserves capital in volatile market conditions.

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Madhusudan Kela Net Worth

According to corporate reports filed for the June 2024 quarter, Madhusudan Kela net worth from the equity investments was around INR 2,250.32 crore. This net worth keeps changing based on price fluctuations on BSE and NSE. This includes only the companies where her shareholding exceeds 1%.

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As of the date of writing this article, Madhusudan Kela net worth tied to the stock market was largely divided into a highly concentrated portfolio of 11 stocks with an average shareholding of INR 204.57 crore.

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