Historical shareholding details of Mutual Funds holdings in Sangam Health Care Products Ltd. (531625)

Quarterly changes of Mutual Funds shareholding in Sangam Health Care Products Ltd. over the previous quarters

Quarter Name Total no. shares held No. of Holders Percent Holding Pledged Locked
shares % shares %
Sep 2024 Mutual Funds 300,200 3 2.02% 0 0.00% 0 0.00%
Jun 2024 Mutual Funds 300,200 3 2.02% 0 0.00% 0 0.00%
Mar 2024 Mutual Funds 300,200 3 2.02% 0 0.00% 0 0.00%
Dec 2023 Mutual Funds 300,200 3 2.02% 0 0.00% 0 0.00%
Sep 2023 Mutual Funds 300,200 3 2.02% 0 0.00% 0 0.00%
Jun 2023 Mutual Funds 300,200 3 2.02% 0 0.00% 0 0.00%
Mar 2023 Mutual Funds 300,200 3 2.02% 0 0.00% 0 0.00%
Dec 2022 Mutual Funds 300,200 3 2.02% 0 0.00% 0 0.00%
Sep 2022 Mutual Funds 300,200 3 2.02% 0 0.00% 0 0.00%
Jun 2022 Mutual Funds 300,200 3 2.02% 0 0.00% 0 0.00%
Mar 2022 Mutual Funds 300,200 3 2.02% 0 0.00% 0 0.00%
Dec 2021 Total 499,100 3 3.36% 0 0.00% 0 0.00%
Sep 2021 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Jun 2021 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Mar 2021 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Dec 2020 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Sep 2020 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Jun 2020 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Mar 2020 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Dec 2019 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Sep 2019 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Jun 2019 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Mar 2019 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Dec 2018 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Sep 2018 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Jun 2018 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Mar 2018 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Dec 2017 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Sep 2017 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Jun 2017 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Mar 2017 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Jun 2016 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Mar 2016 Total 599,100 3 4.03% 0 0.00% 0 0.00%
Dec 2015 Total 599,100 3 4.03% 0 0.00% 0 0.00%

View all shareholdings details of Sangam Health Care Products Ltd.