Promoter shareholding has significantly decreased YoY by 3.10% while experiencing a notable QoQ increase of 70.28%, suggesting volatility and potential lack of confidence despite recent buying.
Institutional shareholding remains stagnant with no changes YoY or QoQ, indicating a lack of interest or confidence from smart money, which aligns with the overall sector performance.
The public shareholding shows a minor decrease YoY and a slight increase QoQ, indicating that retail investors are not strongly supporting the stock, aligning with broader sector trends of no growth.