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SHAH CAPITAL MANAGEMENT - Portfolio Stock Holdings

SHAH CAPITAL MANAGEMENT disclosed 11 stock positions in a recent SEC 13F filing. $526,212,124 of stock holdings were filed, with the largest holdings including VEON, NVAX, and CYD. This filing represented positions held on June 30, 2026, and was filed on Aug. 14, 2026.

Report Period:

June 30, 2026

No. of Stocks:

11

Est. Stock Holding Value:

$526,212,124

Top Stock Holdings By Sector

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Portfolio Stock Holdings - SHAH CAPITAL MANAGEMENT

Stock
Holdings (Shares)
Holdings (USD)
% of Portfolio
Change (Shares)
Change (USD)
% Change

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