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Kaynes Technology India Ltd. - Research Center

543664 KAYNES Group (A) BSE data
 
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Kaynes Technology India Ltd. Latest Share Holding Pattern

Face Value (Rs.): 10

Share Holding Summary

Jun 2025
Promoter 53.52%
Mutual Funds 18.91%
Public 13.37%
FII 10.71%
Others 3.49%

Key Highlights

Promoter Holdings

Decrease to 7.32%

Mutual Funds

Increase to 47.27%

Public

Decrease to 5.24%

DII Investors

70 Investors

FII Holdings

Decrease to 4.12%

FII Investors

224 Investors
Summary Data
Promoter Holding
Institutional Holding(DII)
Institutional Holding(FII)
Public (Non-Institutional) Holding
Category
Jun 2025
Mar 2025
Dec 2024
Sep 2024
Jun 2024
Mar 2024
Dec 2023
Sep 2023
Jun 2023
Mar 2023
Dec 2022
Promoter
53.52%
57.75%
57.75%
57.75%
57.83%
57.83%
57.83%
63.57%
63.57%
63.57%
63.57%
FII
10.71%
11.17%
14.84%
14.91%
14.27%
14.2%
12.71%
9.9%
7.96%
8.16%
8.53%
DII
22.4%
16.97%
15.04%
16.08%
17.87%
18.36%
19.05%
15.59%
13.12%
12.96%
11.42%
Public
13.37%
14.11%
12.38%
11.26%
10.04%
9.61%
10.41%
10.94%
15.34%
15.31%
16.48%
Promoter holding is 53.52% in Jun 2025, with a total of 35,838,533 shares.
Name
%
Shares
Individuals/Hindu undivided Family
53.52
35,838,533
53.49
35,818,633
0.03
19,800
DII holding is 22.40% in Jun 2025, with a total of 14,996,687 shares.
 
%
Shares
No. of Shareholders
Mutual Funds
18.91
12,662,241
31
MOTILAL OSWAL MIDCAP FUND
4.18
2,800,037
-
Axis Mutual Fund Trustee Limited A/C Axis Mutual Fund A/C Axis Small Cap Fund
2.79
1,869,217
-
NIPPON LIFE INDIA TRUSTEE LTD-A/C NIPPON INDIA SMALL CAP FUND
2.22
1,489,602
-
Hsbc Midcap Fund
2.17
1,454,529
-
Canara Robeco Mutual Fund A/C Canara Robeco Large And Mid Cap Fund
1.30
867,932
-
INVESCO INDIA FLEXI CAP FUND
1.06
710,691
-
KOTAK EQUITY ARBITRAGE FUND
1.03
689,083
-
Alternate Investment Funds
1.33
891,994
23
Insurance Companies
2.15
1,440,134
13
HDFC LIFE INSURANCE COMPANY LIMITED
1.06
710,895
-
FII holding is 10.71% in Jun 2025, with a total of 7,172,533 shares.
 
%
Shares
No. of Shareholders
Foreign Portfolio Investors Category I
9.88
6,617,861
198
Kuwait Investment Authority Fund 601
1.04
697,954
-
BARON EMERGING MARKETS FUND
1.00
670,836
-
Foreign Portfolio Investors Category II
0.83
554,672
26
Public holding is 13.37% in Jun 2025, with a total of 8,949,340 shares.
 
%
Shares
No. of Shareholders
Key Managerial Personnel
0.01
10,000
1
Resident Individuals holding nominal share capital up to Rs. 2 lakhs
9.76
6,531,773
215,110
Resident Individuals holding nominal share capital in excess of Rs. 2 lakhs
0.18
123,500
3
Non Resident Indians (NRIs)
2.19
1,465,418
4,534
1.59
1,065,327
-
Foreign Companies
0.09
60,000
2
Bodies Corporate
0.72
485,304
845
Foreign Other Non Institutions
0.41
273,345
3,828
0.31
204,659
-
0.07
45,557
-
0.03
22,252
-
0.00
877
-
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