Promoters have reduced their holdings by 11.49% YoY, contrasting with sector averages that have remained stable at 0% for the same period.
Public shareholding has also decreased significantly by 3.89% YoY and 4.73% QoQ, indicating negative sentiment among retail investors.
Both Promoters and Institutions are not increasing their stakes, suggesting a lack of confidence in the stock's future performance compared to sector peers.