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Sanjiv Bhasin Investment Portfolio: Market Insights for 2024

Sanjiv Bhasin, a pivotal figure in the Indian stock market, serves as the Director of the Gurugram branch of IIFL Securities Ltd, a renowned brokerage firm in India. With an illustrious career that includes the role of Chief Economist at the National Stock Exchange of India Limited, Bhasin has established himself as a trusted expert in the financial industry. This comprehensive article explores his educational background, recent investment portfolio, expert opinions on the volatility of the Indian stock market in 2024, and his influential media presence.

Sanjiv Bhasin Educational Background:

Bhasin's academic journey commenced at St. Columba's School in New Delhi, followed by a successful graduation from Shri Ram College of Commerce in 1984, where he earned a Bachelor of Commerce (Hons.) degree. In addition to his mainstream education, Bhasin has delved into astrology, completing courses such as Jyotish Praveena and Jyotish Visharda. Notably, he is on track to achieve Jyotish Bushan, a qualification equivalent to a Doctorate in Mundane Astrology.

Recent Investment Portfolio:

In 2024, Sanjiv Bhasin strategically diversified his investment portfolio, making notable investments in Vodafone Idea, Piramal Pharma, and Ambuja Cements. These decisions showcase his insightful approach to navigating the dynamic Indian stock market. His diverse portfolio also includes holdings in prominent companies such as Zee Entertainment, Vedanta, REC, PFC, NBCC, GAIL, IREDA, Colgate, Mphasis, L&T Tech, and Tech Mahindra, reflecting his confidence in various sectors.

Sanjiv Basin as a Expert Opinion and Recommendations:

Sanjiv Bhasin's influence transcends his official roles, as he shares his optimism for various stocks, including SBI, LIC Housing, AB Capital, and ICICI Bank. Furthermore, his detailed recommendations cover a wide array of stocks such as Vedanta, Bank Of Baroda, IDFC First Bank, DLF, Bharti Airtel, Tata Motors, Tata Chemicals, GMR Airports, L&T, Reliance Industries, SBI, IndusInd Bank, SRF, Aarti Industries, Hindalco, IOC, Tata Power, Wipro, and HDFC Life.

Sanjiv Bhasin Insights on Market Volatility in 2024:

Sanjiv Bhasin, the Director of IIFL Securities, anticipates market volatility in 2024, advising investors to "stay invested." Acknowledging the market's new highs, he expects fluctuations while maintaining an overall positive outlook. Investors can consider this insight when formulating their investment strategies for the year, recognizing the potential opportunities amid the market dynamics.

 Media Presence of Sanjiv Bhasin:

Sanjiv Bhasin is not only recognized for his roles in prominent financial institutions but also for his active participation in the media. Apart from his contributions to ET NOW, IIFL Securities' YouTube channels, and The Economic Times website, Bhasin actively engages with Hindi-language channels such as Zee Business and CNBC Awaaz. His insights cover a broad spectrum of financial topics, providing valuable guidance to a diverse audience interested in stock recommendations and market outlooks.


Sanjiv Bhasin multifaceted presence in the financial industry, coupled with his educational background and diverse investment portfolio, solidifies his standing as a key figure in the Indian stock market. Investors can gain valuable insights from his recommendations and market outlooks as they navigate the complexities of the ever-evolving financial landscape in 2024. Sanjiv Bhasin strategic investments, comprehensive understanding of market trends, and active media engagement position him as a reliable source for investors seeking informed perspectives in the dynamic Indian stock market.

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