Promoter shareholding stable (+0.29% YoY) while sector shows no change, indicating lack of confidence in broader sector trends.
Institutional investors slightly increased their holdings (+0.70% QoQ), contrasting with the sector's overall stagnant institutional activity, suggesting selective buying in Tata Consumer.
Public shareholding decreased both YoY and QoQ, reflecting possible retail disinterest or concern, further aligning with the sector's weak performance.