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Filatex India Shareholding pattern update FY(Q1-Jun 2024-2025)

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Filatex India has released its latest shareholding reports, covering the quarter and the first half of the fiscal year ending on (Q1-Jun 2024-2024).This detailed report examines who owns shares, including Promoters, promoter groups, Foreign investors, public investors, and government entities.
Shareholder Name Previous Quater Quantity(In Crores) Current Quater Quantity(In Crores) Previous Quater Shares(in %) Current Quater Shares(in %) Quater to Quater Difference
Promoters 28.74 28.74 64.76 64.76 0
Public 15.64 15.64 26.95 27.69 +0.74 %
DII 1.04 1.04 2.35 2.35 0
FII 2.63 2.31 5.94 5.2 -0.74 %
Government 0 0 0 0 0
Promoters shareholding remained stable, at 64.76% in both March 2024 and June 2024. This indicates that the promoters’ control over the company did not change during this period. The percentage of shares held by the public increased from 26.95% in March 2024 to 27.69% in June 2024.This change suggests that the public’s investment in the company grew during the quarter.DIIs (Domestic Institutional Investors) shareholding remained unchanged at 2.35% from March 2024 to June 2024. This indicates that domestic institutions maintained their investment level in the company. FIIs (Foreign Institutional Investors) shareholding decreased from 5.94% in March 2024 to 5.2% in June 2024 ,indicating that foreign institutions reduced their investments by 1.5% in the company during the quarter. This suggests a pullback in their investment .

Let’s look into the statistics of the investors, which could have contributed to the fluctuations in the shareholding pattern.

Shareholder Name Previous Quarter Quantity (In Crores) Current Quarter Quantity (In Crores) Previous Quater Shares (in %) Current Quater Shares (in %) Quater-to-Quater Difference (%)
Directors and their relatives (excluding independent directors and nominee directors) 0.096 0.029 0.22 0.07 -0.15 %
Resident Individuals holding nominal share capital up to Rs. 2 lakhs 4.778 5.478 10.76 12.34 + 1.58 %
Resident Individuals holding nominal share capital in excess of Rs. 2 lakhs 2.233 2.141 5.03 4.82 -0.21 %
Non Resident Indians (NRIs) 0.132 0.131 0.3 0.29 -0.01 %
Bodies Corporate 1.474 1.286 3.32 2.9 -0.42 %
Any Other (specify) 3.076 3.050 6.93 6.87 -0.06 %
LLP 2.350 2.316 5.29 5.22 -0.07 %
HUF 0.726 0.733 1.64 1.65 + 0.01 %
Observations show a significant difference of -0.15 % in Directors and their relatives (excluding independent directors and nominee directors)’s financial performance between quarters.Leading the way to higher stakeholding, Resident Individuals holding nominal share capital up to Rs. 2 lakhs has significantly boosted stakeholding by an impressive 1.58 %.Observations show a significant difference of -0.21 % in Resident Individuals holding nominal share capital in excess of Rs. 2 lakhs’s financial performance between quarters.Observations show a significant difference of -0.01 % in Non Resident Indians (NRIs)’s financial performance between quarters.Observations show a significant difference of -0.42 % in Bodies Corporate’s financial performance between quarters.Observations show a significant difference of -0.06 % in Any Other (specify)’s financial performance between quarters.Observations show a significant difference of -0.07 % in LLP’s financial performance between quarters.Leading the way to higher stakeholding, HUF has significantly boosted stakeholding by an impressive 0.01 %.
Shareholder Name Previous Quarter Quantity (In Crores) Current Quarter Quantity (In Crores) Previous Quater Shares (in %) Current Quater Shares (in %) Quater-to-Quater Difference (%)
Foreign Portfolio Investors Category I 2.555 2.305 5.76 5.19 -0.57 %
ELM PARK FUND LIMITED 1.936 1.929 4.36 4.34 -0.02 %
Foreign Portfolio Investors Category II 0.080 0.004 0.18 0.01 -0.17 %
Stakeholding dwindled by -0.57 % for Foreign Portfolio Investors Category I in comparison to the preceding quarter.Stakeholding dwindled by -0.02 % for ELM PARK FUND LIMITED in comparison to the preceding quarter.Stakeholding dwindled by -0.17 % for Foreign Portfolio Investors Category II in comparison to the preceding quarter.

-13

3-Year Profit

6

5-Year Profit

28

10-Year Profit

52.9

Current Price

2,349

Market Cap



Upon examining the financial data for BSE code 526227, it becomes clear that the company achieved a notable five-year profit of 6 percents, which impressively increased to -13 percents in the three-year window. This upward trajectory, however, has been overshadowed by the latest trailing twelve-month (TTM) figures, which indicate a concerning loss of 95 percents. This financial loss is further compounded by the fact that the company has not recorded any sales across any of the timeframes under consideration. Such an unusual situation might suggest that the company operates under an unconventional business model, which could potentially carry higher risks. In terms of stock performance, the company’s stock price has seen a decline, falling from 25 percents over the five-year period to just 26 percents in the last year. The ten-year average stock price, which sits at 35 percents, highlights long-term volatility, casting doubt on the company's ability to sustain its market position over time. This warrants further investigation into the factors driving these fluctuations.

The company currently holds a market cap of ₹2,349 crore, with its stock trading at ₹52.9. Historically, the stock has fluctuated between ₹78.0 / 44.0, reflecting its performance in response to market dynamics and various economic factors. The company's Price-to-Earnings (P/E) ratio stands at 28.2, indicating that the stock is perceived as highly valued by the market, possibly driven by expectations of future earnings growth. The book value per share is ₹10.8, which offers insight into the company's intrinsic worth, while its dividend yield of 0.38% provides a steady return for long-term investors. Return on Capital Employed (ROCE) is 16.9%, showcasing the company’s ability to generate profits from its capital investments. Return on Equity (ROE) is 19.4%, highlighting how efficiently the company uses shareholder funds to generate profits. The debt-to-equity ratio is very low at 1.28, which is a positive indicator of financial stability. However, the company’s net cash flow of ₹15.2 crore raises concerns about its liquidity position. The Piotroski score of 8.00 reflects the company’s overall financial health, while the Graham Number of ₹21.8 suggests the stock's intrinsic value. Despite these factors, the Price-to-Book (P/B) ratio of 4.88 indicates that the stock is trading at a premium to its book value, which might imply market optimism about the company's future growth prospects.

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