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NSE 15 Apr, 2025 3:31 PM (IST)



Va Tech Wabag Ltd. Shareholding Pattern for Sep 2020 - Promoter, FII, DII, Mutual Fund holding

Va Tech Wabag Ltd. shareholding pattern - Promoter holding and pledges, FII, DII, Mutual Fund holding change for the Sep 2020 quarter.

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Summary Dec 2024 Sep 2024 Jun 2024 Mar 2024 Dec 2023 Sep 2023 Jun 2023 Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Promoter 19.1% 19.1% 19.1% 19.1% 19.1% 19.1% 19.1% 19.1% 19.1% 19.1% 21.7% 21.7%
FII 18.9% 14.7% 11.5% 12.5% 13.1% 15.6% 16.7% 16.6% 15.9% 14.4% 15.4% 16.2%
DII 2.0% 3.6% 5.0% 5.6% 5.9% 3.5% 3.5% 3.3% 3.5% 3.3% 3.3% 3.6%
Public 60% 62.6% 64.4% 62.8% 61.9% 61.7% 60.7% 61.1% 61.5% 63.2% 59.7% 58.5%
Others 0% 0.0% 0.0% 0.0% 0% 0.0% 0.0% 0% 0.0% 0% 0% 0%
Holding Sep 2020 Holding Jun 2020 Holding Sep 2019 History
% shares % shares % shares
21.70 13,495,522 24.68 13,495,522 24.68 13,495,522
Name Holding Sep 2020 No of holders Indian/Foreign History
% shares
6.09 3,786,116 2 Indian
6.09 3,786,116 2 Indian
S varadarajan 3.51 2,185,762 - Indian
S varadarajan 3.51 2,185,762 - Indian
Shivnarayan jagannath saraf 2.57 1,600,354 - Indian
Shivnarayan jagannath saraf 2.57 1,600,354 - Indian
Rajiv mittal 15.61 9,709,406 - Foreign
Rajiv mittal 15.61 9,709,406 - Foreign
Holding Sep 2020 Holding Jun 2020 Holding Sep 2019 Locked History
% shares % shares % shares % shares
34.98 21,755,064 28.07 15,353,177 33.47 18,304,931 0.00 0
Name Holding Sep 2020 No of holders Locked History
% shares % shares
3.57 2,218,876 3 0.00 0
3.57 2,218,876 3 0.00 0
Sbi mutual fund 2.54 1,578,163 - 0.00 0
Sbi mutual fund 2.54 1,578,163 - 0.00 0
Sundaram mutual fund 1.03 640,496 - 0.00 0
Sundaram mutual fund 1.03 640,496 - 0.00 0
13.21 * 8,214,660 44 0.00 0
13.21 * 8,214,660 44 0.00 0
Governmennt pension fund global 2.87 1,782,930 - 0.00 0
Governmennt pension fund global 2.87 1,782,930 - 0.00 0
Massachusetts institute of technology 2.52 1,567,000 - 0.00 0
Massachusetts institute of technology 2.52 1,567,000 - 0.00 0
Kbi institutional water fund 1.75 1,086,905 - 0.00 0
Kbi institutional water fund 1.75 1,086,905 - 0.00 0
0.71 443,996 2 0.00 0
0.71 443,996 2 0.00 0
Holding Sep 2020 Holding Jun 2020 Holding Sep 2019 Locked History
% shares % shares % shares % shares
121.64 75,634,748 47.25 25,841,729 41.86 22,889,975 159.56 15,000,000
Name Holding Sep 2020 No of holders Locked History
% shares % shares
14.72 9,151,777 11 65.56 6,000,000
14.72 9,151,777 11 65.56 6,000,000
Rekha rakesh jhunjhunwala 8.04 5,000,000 - 100.00 5,000,000
Rekha rakesh jhunjhunwala 8.04 5,000,000 - 100.00 5,000,000
Amit sengupta 2.36 1,466,714 - 0.00 0
Amit sengupta 2.36 1,466,714 - 0.00 0
Sushma anand jain/ anand jaikumar jain (joint holding) 1.61 1,000,000 - 100.00 1,000,000
Sushma anand jain/ anand jaikumar jain (joint holding) 1.61 1,000,000 - 100.00 1,000,000
29.14 18,120,252 73,583 0.00 0
29.14 18,120,252 73,583 0.00 0
16.96 10,544,995 5,850 14.22 1,500,000
16.96 10,544,995 5,850 14.22 1,500,000
Bodies corporate 7.40 4,600,614 - 32.60 1,500,000
Bodies corporate 7.40 4,600,614 - 32.60 1,500,000
Alternative investment fund 2.98 1,850,889 - 0.00 0
Alternative investment fund 2.98 1,850,889 - 0.00 0
Basera home finance private limited 2.41 1,500,000 - 100.00 1,500,000
Basera home finance private limited 2.41 1,500,000 - 100.00 1,500,000
Non-resident indian (nri) 2.28 1,420,710 - 0.00 0
Non-resident indian (nri) 2.28 1,420,710 - 0.00 0
Vantage equity fund 1.86 1,153,682 - 0.00 0
Vantage equity fund 1.86 1,153,682 - 0.00 0
Huf 1.43 891,951 - 0.00 0
Huf 1.43 891,951 - 0.00 0
Sattva india opportunities company limited 1.13 700,313 - 0.00 0
Foreign bodies 1.13 700,313 - 0.00 0
Foreign bodies 1.13 700,313 - 0.00 0
Sattva india opportunities company limited 1.13 700,313 - 0.00 0
Nri non-repatriation 0.92 572,195 - 0.00 0
Nri non-repatriation 0.92 572,195 - 0.00 0
Clearing members 0.78 487,362 - 0.00 0
Clearing members 0.78 487,362 - 0.00 0
Qualified institutional buyer 0.03 20,000 - 0.00 0
Qualified institutional buyer 0.03 20,000 - 0.00 0
Trusts 0.00 650 - 0.00 0
Iepf 0.00 311 - 0.00 0
Iepf 0.00 311 - 0.00 0
Trusts 0.00 650 - 0.00 0
0.00 350 1 0.00 0
0.00 350 1 0.00 0