SHAH CAPITAL MANAGEMENT - Portfolio overview
SHAH CAPITAL MANAGEMENT has 15 reported holdings in this dataset, with the latest filing dated 2026-04-24.
Its largest classified asset exposures are stocks and funds.
Its largest classified sector exposures are Communication Services and Healthcare.
Largest reported holdings by portfolio allocation
- VEON - VEON LTD, 39.71%
- NVAX - NOVAVAX INC, 21.19%
- CYD - CHINA YUCHAI INTL LTD, 10.93%
These figures describe reported SEC 13F holdings, which may not represent the institution's entire portfolio or current positions.
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