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Moschip Technologies Shareholding pattern FY(Q2-Sep 2024-2025)

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Shareholding results capture the distribution of ownership in a company as outlined in its financial disclosures. These results indicate the proportion of shares held by different investor categories and can reveal trends in market confidence. By studying shareholding results, investors and analysts can assess the influence of major shareholders on corporate governance and stock price movements. Moschip Technologies 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 Quarter Quantity Current Quarter Quantity Previous Quarter Shares(in %) Current Quarter Shares(in %) Quarter to Quarter Difference
Promoters 8.80 Cr 8.75 Cr 46.51 46.1 -0.41 %
Public 10.10 Cr 10.21 Cr 50.53 50.16 -0.37 %
DII 1.00 K 1.00 K 0 0 0
FII 54.10 Lakh 69.07 Lakh 2.86 3.64 +0.78 %
Government 0 0 0 0 0
Promoters’ shareholding decreased from 46.51% in June 2024 to 46.1% in September 2024. This reduction indicates that the promoters’ control over Company has weakened during this period.The percentage of shares held by the public decreased from 50.53% in June 2024 to 50.16% in September 2024.This reduction indicates that the public’s stake in the company diminished during this period.DIIs (Domestic Institutional Investors) shareholding remained unchanged at 0% from June 2024 to September 2024. This indicates that domestic institutions maintained their investment level in the company. FIIs (Foreign Institutional Investors): There was a significant increase from 2.86% in June 2024 to 3.64% in September 2024. This suggests that foreign institutions grew their investments 0.78 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 Current Quarter Quantity Previous Quarter Shares (in %) Current Quarter Shares (in %) Quarter-to-Quarter Difference (%)
RAMA CHANDRA REDDY KADIRI 29.53 Lakh 24.26 Lakh 1.56 1.28 -0.28 %
MAYUKA HOLDINGS 8.48 Cr 8.48 Cr 44.84 44.71 -0.13 %
RAMA CHANDRA REDDY KADIRI faced a downturn in stakeholding this quarter, witnessing a decline of -0.28 % in stakeholding compared to the previous quarter.MAYUKA HOLDINGS faced a downturn in stakeholding this quarter, witnessing a decline of -0.13 % in stakeholding compared to the previous quarter.
Shareholder Name Previous Quarter Quantity Current Quarter Quantity Previous Quarter Shares (in %) Current Quarter Shares (in %) Quarter-to-Quarter Difference (%)
Directors and their relatives (excluding independent directors and nominee directors) 18.69 Lakh 18.69 Lakh 0.99 0.98 -0.01 %
Resident Individuals holding nominal share capital up to Rs. 2 lakhs 6.36 Cr 6.40 Cr 33.63 33.73 + 0.1 %
Resident Individuals holding nominal share capital in excess of Rs. 2 lakhs 1.10 Cr 1.02 Cr 5.83 5.38 -0.45 %
Non Resident Indians (NRIs) 26.77 Lakh 28.28 Lakh 1.41 1.49 + 0.08 %
Foreign Nationals 58.85 Lakh 55.82 Lakh 3.11 2.94 -0.17 %
VENKATA SUDHAKAR SIMHADRI 52.32 Lakh 50.36 Lakh 2.77 2.65 -0.12 %
Foreign Companies 3.11 Lakh 2.63 Lakh 0.16 0.14 -0.02 %
Bodies Corporate 72.10 Lakh 74.13 Lakh 3.81 3.91 + 0.1 %
SMILAX CORPORATE SERVICES LLP 46.32 Lakh 46.32 Lakh 2.45 2.44 -0.01 %
Clearing Members 1.28 K 70.44 K 0 0.04 + 0.04 %
HUF 28.21 Lakh 27.58 Lakh 1.49 1.45 -0.04 %
Observations show a significant difference of -0.01 % 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 0.1 %.Observations show a significant difference of -0.45 % in Resident Individuals holding nominal share capital in excess of Rs. 2 lakhs’s financial performance between quarters.Leading the way to higher stakeholding, Non Resident Indians (NRIs) has significantly boosted stakeholding by an impressive 0.08 %.Observations show a significant difference of -0.17 % in Foreign Nationals’s financial performance between quarters.Observations show a significant difference of -0.12 % in VENKATA SUDHAKAR SIMHADRI’s financial performance between quarters.Observations show a significant difference of -0.02 % in Foreign Companies’s financial performance between quarters.Leading the way to higher stakeholding, Bodies Corporate has significantly boosted stakeholding by an impressive 0.1 %.Observations show a significant difference of -0.01 % in SMILAX CORPORATE SERVICES LLP’s financial performance between quarters.Leading the way to higher stakeholding, Clearing Members has significantly boosted stakeholding by an impressive 0.04 %.Observations show a significant difference of -0.04 % in HUF’s financial performance between quarters.
Shareholder Name Previous Quarter Quantity Current Quarter Quantity Previous Quarter Shares (in %) Current Quarter Shares (in %) Quarter-to-Quarter Difference (%)
Foreign Portfolio Investors Category I 54.10 Lakh 65.01 Lakh 2.86 3.43 + 0.57 %
CITRUS GLOBAL ARBITRAGE FUND 52.70 Lakh 49.09 Lakh 2.79 2.59 -0.2 %
Foreign Portfolio Investors Category II 0 4.07 Lakh 0 0.21 +0.21%
During this past quarter, there was a noteworthy upswing in stakeholding for Foreign Portfolio Investors Category I, which experienced a significant increase of 0.57 % .Stakeholding dwindled by -0.2 % for CITRUS GLOBAL ARBITRAGE FUND in comparison to the preceding quarter.Foreign Portfolio Investors Category II had no shares in the previous fiii quarter but now holds 0.21% of shares in the current quarter.

75

3-Year Profit

18

5-Year Profit

12

10-Year Profit

232

Current Price

4,413

Market Cap



The company associated with BSE code 532407 presents a financial narrative of mixed fortunes. Over a five-year period, the company achieved a profit of 18 percents, which subsequently rose to 75 percents over the three years that followed. Yet, despite this initial growth, the company now faces a troubling trailing twelve-month (TTM) profit loss of 40 percents. What’s particularly striking is the company’s complete absence of reported sales across all analyzed periods, which brings into question the viability of its revenue generation strategies and long-term business sustainability. Moreover, stock prices have been highly volatile, reflecting the company’s uncertain future. While the stock was valued at 84 percents over the last five years, it has recently dropped to 170 percents, underscoring a rapid decline in market confidence. Over the longer ten-year period, the stock price was at 48 percents, illustrating a pattern of fluctuating performance that could pose risks for potential investors.

With a market capitalization of ₹4,413 crore, the company’s stock is currently trading at ₹232, having fluctuated within a range of ₹327 / 77.0 over the years. The stock's P/E ratio of 414 reflects a relatively high valuation compared to its earnings, which could suggest strong future growth expectations or heightened investor demand. The company’s book value is ₹14.3, representing the total value of its assets on a per-share basis, while the dividend yield of 0.00% offers a modest return to shareholders. ROCE, at 6.62%, highlights the company's efficient use of capital in generating profits, while ROE at 5.17% underscores its ability to generate returns for shareholders. The debt-to-equity ratio of 0.26 is very low, indicating conservative financial management and minimal reliance on borrowed funds. Despite this, the company shows a negative net cash flow of ₹1.29 crore, which could point to cash management challenges or recent heavy investments. The Piotroski score of 5.00 suggests moderate financial strength, while the Graham Number, pegged at ₹13.6, offers a rough estimate of the stock's intrinsic value. The Price-to-Book (P/B) ratio of 16.2 signals that the stock is trading at a premium, which might reflect investor confidence in the company's growth trajectory.

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