Promoter shareholding decreased by 7.52% YoY while sector averages remained unchanged, indicating potential insider concerns about future performance.
Institutional investment rose by 10.26% YoY, suggesting confidence from smart money despite the decline in promoter holdings; this could signal a divergence in perspectives on the stock's prospects.
Public shareholding remained static, reflecting a lack of retail interest, which may further contribute to the stock underperforming compared to sector trends.