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Promoter shareholding decreased significantly YoY (-10.47%) and QoQ (-4.90%), contrasting sector averages which remained stable.
Institutional investment increased by 11.67% YoY, indicating potential confidence from smart money amidst overall selling trends of the stock.
Public shareholding also declined (-2.97% YoY), suggesting weakness in retail sentiment, aligning with the stock's status as a sector laggard.