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Manorama Industries Shareholding pattern FY(Q2-Sep 2024-2025)

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Manorama Industries has released its latest shareholding reports, covering the Second quarter and the fiscal year ending on (Q2-Sep 2024-2025).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 3.41 3.41 57.26 57.26 0
Public 2.55 2.55 38.8 38.55 -0.25 %
DII 0.11 0.11 1.78 1.82 +0.04 %
FII 0.13 0.14 2.16 2.37 +0.21 %
Government 0 0 0 0 0
Promoters shareholding remained stable, at 57.26% in both June 2024 and September 2024. This indicates that the promoters’ control over the company did not change during this period. The percentage of shares held by the public decreased from 38.8% in June 2024 to 38.55% in September 2024.This reduction indicates that the public’s stake in the company diminished during this period.DIIs (Domestic Institutional Investors) shareholding increased from 1.78% in June 2024 to 1.82% in September 2024 , indicating that domestic institutions increased their stake in the company by 0.04% . FIIs (Foreign Institutional Investors): There was a significant increase from 2.16% in June 2024 to 2.37% in September 2024. This suggests that foreign institutions grew their investments 0.21 in the company during the quarter.

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 (%)
Resident Individuals holding nominal share capital up to Rs. 2 lakhs 0.679 0.669 11.4 11.22 -0.18 %
Resident Individuals holding nominal share capital in excess of Rs. 2 lakhs 1.243 1.242 20.86 20.85 -0.01 %
Vaidyanath Balasubramanian 0.149 0.144 2.49 2.42 -0.07 %
Sanjay Katkar 0 0.122 0 2.04 +2.04%
Prasoon Bhatt 0.135 0.140 2.27 2.34 + 0.07 %
Non Resident Indians (NRIs) 0.170 0.170 2.86 2.85 -0.01 %
Mahesh Shivanand Desai 0.136 0.133 2.28 2.24 -0.04 %
Bodies Corporate 0.073 0.075 1.22 1.26 + 0.04 %
Any Other (specify) 0.147 0.142 2.46 2.37 -0.09 %
HUF 0.115 0.108 1.93 1.82 -0.11 %
LLP 0.032 0.033 0.53 0.55 + 0.02 %
Sanjay Katkar 0.122 0 2.04 0 -2.04%
Observations show a significant difference of -0.18 % in Resident Individuals holding nominal share capital up to Rs. 2 lakhs’s financial performance between quarters.Observations show a significant difference of -0.01 % in Resident Individuals holding nominal share capital in excess of Rs. 2 lakhs’s financial performance between quarters.Observations show a significant difference of -0.07 % in Vaidyanath Balasubramanian’s financial performance between quarters.Leading the way to higher stakeholding, Prasoon Bhatt has significantly boosted stakeholding by an impressive 0.07 %.Observations show a significant difference of -0.01 % in Non Resident Indians (NRIs)’s financial performance between quarters.Observations show a significant difference of -0.04 % in Mahesh Shivanand Desai’s financial performance between quarters.Leading the way to higher stakeholding, Bodies Corporate has significantly boosted stakeholding by an impressive 0.04 %.Observations show a significant difference of -0.09 % in Any Other (specify)’s financial performance between quarters.Observations show a significant difference of -0.11 % in HUF’s financial performance between quarters.Leading the way to higher stakeholding, LLP has significantly boosted stakeholding by an impressive 0.02 %.Sanjay Katkar had no shares in the previous quarter but now holds 2.04% of shares in the current quarter.Sanjay Katkar had 2.04% of shares in the previous quarter but exited in the current quarter.
Shareholder Name Previous Quarter Quantity (In Crores) Current Quarter Quantity (In Crores) Previous Quater Shares (in %) Current Quater Shares (in %) Quater-to-Quater Difference (%)
Mutual Funds/ 0.053 0.052 0.88 0.87 -0.01 %
Alternate Investment Funds 0.051 0.055 0.86 0.92 + 0.06 %
Mutual Funds/ decreased their stake from 0.87% in the previous quarter to 0.88% in the current quarter.It describes a decrease in stakes over consecutive quarters, specifically by -0.01 %.The latest quarter saw a considerable enhancement in stakeholding for Alternate Investment Funds, reflecting an uptick of 0.06 % in their shares.
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 0.116 0.135 1.94 2.27 + 0.33 %
Foreign Portfolio Investors Category II 0.013 0.006 0.22 0.1 -0.12 %
During this past quarter, there was a noteworthy upswing in stakeholding for Foreign Portfolio Investors Category I, which experienced a significant increase of 0.33 % .Stakeholding dwindled by -0.12 % for Foreign Portfolio Investors Category II in comparison to the preceding quarter.

40

3-Year Profit

15

5-Year Profit

45

10-Year Profit

653

Current Price

3,904

Market Cap



For the company identified by BSE code 541974, the financial performance highlights a solid five-year profit of 15 percents. This figure escalates to 40 percents over the three-year period, pointing to positive momentum in its earnings. Despite these encouraging trends, the trailing twelve-month (TTM) figures uncover an alarming profit loss of 61 percents. This decline, coupled with the fact that the company recorded zero sales across all periods examined, raises red flags about the sustainability of its business model and its ability to generate consistent revenue. Furthermore, the stock price fluctuations during this period further reflect the company's uncertain position. The stock started at 72 percents but has since plummeted to 141 percents recently, painting a picture of rapid decline. Over a longer ten-year horizon, the stock price stood at 0 percents, further underscoring the long-term challenges the company faces in maintaining investor confidence and market value.

Currently valued at ₹3,904 crore, the company's stock price stands at ₹653. Over the years, it has seen significant fluctuations, with its price ranging from ₹730 / 289, a reflection of its sensitivity to market conditions and investor sentiment. The stock's Price-to-Earnings (P/E) ratio, currently at 97.3, suggests that it is highly valued in comparison to its earnings, possibly indicating strong future growth expectations or a high level of investor confidence. The book value per share is ₹56.6, which represents the net asset value of the company per share. The dividend yield of 0.06% provides some return to investors, though it may not be the primary attraction for those investing in the stock. The company's Return on Capital Employed (ROCE) is 13.4%, pointing to efficient use of its capital base to generate profits. The Return on Equity (ROE), at 12.6%, highlights the profitability for shareholders. The company's financial health is further underscored by its very low debt-to-equity ratio of 1.03, signaling conservative financial management. However, the net cash flow is negative at ₹-1.47 crore, indicating possible liquidity concerns or heavy investment. The Piotroski score of 2.00 provides a snapshot of its financial stability, while the Graham Number, estimated at ₹92.5, offers an intrinsic value benchmark. With a Price-to-Book (P/B) ratio of 11.6, the stock seems to be trading at a premium relative to its book value, which could signal strong market expectations or overvaluation risks.

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