Promoter shareholding decreased both YoY (-0.07%) and QoQ (-0.03%), diverging from sector averages which remained stable.
Institutional shareholding saw a significant YoY drop (-0.23%) but a QoQ increase (0.20%), indicating mixed sentiment among smart money.
Public shareholding increased slightly (YoY: +0.10%, QoQ: +0.03%), yet overall selling pressure from Promoters and Institutions suggests bearish sentiment in the stock.