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

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Shareholding results offer insight into the distribution of shares among various investors, highlighting the levels of institutional and retail ownership. These results are significant for analyzing investor confidence and market sentiment. Understanding shareholding patterns can aid stakeholders in predicting how changes in ownership might affect a company’s stock performance. Tata 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 22.47 Cr 22.40 Cr 55.39 55.22 -0.17 %
Public 18.10 Cr 18.16 Cr 41.07 37.58 -3.49 %
DII 77.52 Lakh 1.45 Cr 1.91 3.58 +1.67 %
FII 66.10 Lakh 1.47 Cr 1.63 3.62 +1.99 %
Government 0 0 0 0 0
Promoters’ shareholding decreased from 55.39% in June 2024 to 55.22% 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 41.07% in June 2024 to 37.58% 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 1.91% in June 2024 to 3.58% in September 2024 , indicating that domestic institutions increased their stake in the company by 1.67% . FIIs (Foreign Institutional Investors): There was a significant increase from 1.63% in June 2024 to 3.62% in September 2024. This suggests that foreign institutions grew their investments 1.99 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 (%)
Tata Motors Finance 81.20 Lakh 74.55 Lakh 2 1.84 -0.16 %
Tata Motors Finance faced a downturn in stakeholding this quarter, witnessing a decline of -0.16 % 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 (%)
Resident Individuals holding nominal share capital up to Rs. 2 lakhs 7.53 Cr 8.64 Cr 18.57 21.3 + 2.73 %
Resident Individuals holding nominal share capital in excess of Rs. 2 lakhs 59.07 Lakh 69.72 Lakh 1.46 1.72 + 0.26 %
Non Resident Indians (NRIs) 26.08 Lakh 32.46 Lakh 0.64 0.8 + 0.16 %
Foreign Companies 5.77 Cr 2.75 Cr 14.22 6.77 -7.45 %
Tpg Rise Climate Sf Pte. . 3.65 Cr 2.44 Cr 9 6.01 -2.99 %
Bodies Corporate 46.80 Lakh 77.06 Lakh 1.15 1.9 + 0.75 %
Any Other (specify) 1.54 Cr 1.57 Cr 3.79 3.86 + 0.07 %
HUF 21.78 Lakh 33.52 Lakh 0.54 0.83 + 0.29 %
LLP 2.07 Lakh 5.17 Lakh 0.05 0.13 + 0.08 %
Unclaimed or Suspense or Escrow Account 1.30 Cr 1.18 Cr 3.2 2.9 -0.3 %
Trusts 26.67 K 14.57 K 0.01 0 -0.01 %
Alpha Tc Holdings Pte. . 1.76 Cr 0 4.34 0 -4.34%
Leading the way to higher stakeholding, Resident Individuals holding nominal share capital up to Rs. 2 lakhs has significantly boosted stakeholding by an impressive 2.73 %.Leading the way to higher stakeholding, Resident Individuals holding nominal share capital in excess of Rs. 2 lakhs has significantly boosted stakeholding by an impressive 0.26 %.Leading the way to higher stakeholding, Non Resident Indians (NRIs) has significantly boosted stakeholding by an impressive 0.16 %.Observations show a significant difference of -7.45 % in Foreign Companies’s financial performance between quarters.Observations show a significant difference of -2.99 % in Tpg Rise Climate Sf Pte. .’s financial performance between quarters.Leading the way to higher stakeholding, Bodies Corporate has significantly boosted stakeholding by an impressive 0.75 %.Leading the way to higher stakeholding, Any Other (specify) has significantly boosted stakeholding by an impressive 0.07 %.Leading the way to higher stakeholding, HUF has significantly boosted stakeholding by an impressive 0.29 %.Leading the way to higher stakeholding, LLP has significantly boosted stakeholding by an impressive 0.08 %.Observations show a significant difference of -0.3 % in Unclaimed or Suspense or Escrow Account’s financial performance between quarters.Observations show a significant difference of -0.01 % in Trusts’s financial performance between quarters.Alpha Tc Holdings Pte. . had 4.34% of shares in the previous quarter but exited in the current quarter.
Shareholder Name Previous Quarter Quantity Current Quarter Quantity Previous Quarter Shares (in %) Current Quarter Shares (in %) Quarter-to-Quarter Difference (%)
Mutual Funds/ 63.26 Lakh 95.92 Lakh 1.56 2.36 + 0.8 %
Alternate Investment Funds 1.97 Lakh 5.51 Lakh 0.05 0.14 + 0.09 %
Banks 37.90 K 6.12 Lakh 0.01 0.15 + 0.14 %
Insurance Companies 6.59 Lakh 31.06 Lakh 0.16 0.77 + 0.61 %
Provident Funds/ Pension Funds 0 51.30 K 0 0.01 +0.01%
Other Financial Institutions 0 50.01 K 0 0.01 +0.01%
The latest quarter saw a considerable enhancement in stakeholding for Mutual Funds/, reflecting an uptick of 0.8 % in their shares.The latest quarter saw a considerable enhancement in stakeholding for Alternate Investment Funds, reflecting an uptick of 0.09 % in their shares.The latest quarter saw a considerable enhancement in stakeholding for Banks, reflecting an uptick of 0.14 % in their shares.The latest quarter saw a considerable enhancement in stakeholding for Insurance Companies, reflecting an uptick of 0.61 % in their shares.Provident Funds/ Pension Funds had no shares in the previous quarter but now holds 0.01% of shares in the current quarter.Other Financial Institutions had no shares in the previous quarter but now holds 0.01% of shares in the current quarter.
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 62.65 Lakh 1.43 Cr 1.54 3.53 + 1.99 %
During this past quarter, there was a noteworthy upswing in stakeholding for Foreign Portfolio Investors Category I, which experienced a significant increase of 1.99 % .

86

3-Year Profit

29

5-Year Profit

0

10-Year Profit

993

Current Price

40,295

Market Cap



In analyzing the financial results for the company marked by BSE code 544028, a clear trend emerges. Over a five-year span, the company reported a profit of 29 percents, which increased to 86 percents in the most recent three-year period, suggesting a strong performance in the early stages of this timeframe. However, this success has been overshadowed by a trailing twelve-month (TTM) loss of 17 percents, signaling significant recent challenges. Compounding this issue is the fact that the company has not reported any sales during any of the timeframes analyzed, raising important questions about its operational model and the sustainability of its current strategies. Investors have been equally wary, as reflected in the stock price performance. The company’s stock traded at 0 percents over the past five years but has recently decreased to 0 percents, indicating a loss of market confidence. Over the last decade, the stock price was at 0 percents, pointing to longer-term concerns that could affect the company's future prospects.

The company currently holds a market cap of ₹40,295 crore, with its stock trading at ₹993. Historically, the stock has fluctuated between ₹1,400 / 970, reflecting its performance in response to market dynamics and various economic factors. The company's Price-to-Earnings (P/E) ratio stands at 62.3, 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 ₹79.2, which offers insight into the company's intrinsic worth, while its dividend yield of 0.85% provides a steady return for long-term investors. Return on Capital Employed (ROCE) is 28.3%, showcasing the company’s ability to generate profits from its capital investments. Return on Equity (ROE) is 21.9%, highlighting how efficiently the company uses shareholder funds to generate profits. The debt-to-equity ratio is very low at 0.08, which is a positive indicator of financial stability. However, the company’s net cash flow of ₹137 crore raises concerns about its liquidity position. The Piotroski score of 5.00 reflects the company’s overall financial health, while the Graham Number of ₹169 suggests the stock's intrinsic value. Despite these factors, the Price-to-Book (P/B) ratio of 12.5 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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