Thryvv : Shareholding page

Shareholding Pattern

in Percentages
Shareholding Pattern
Mar2025
Dec2024
Sep2024
Jun2024
Mar2024
Dec2023
Sep2023
Jun2023
Promoters
75
75
75
75
75
75
75
75
FIIs
0.51
0.67
0.67
0.67
0.7
0.71
0.73
0.74
Foreign Portfolio investors
0.51
0.67
0.67
0.67
0.7
0.71
0.73
0.74
DIIs
11.71
11.71
11.88
11.91
11.88
11.8
11.73
11.51
Mutual Funds / UTI
11.69
11.69
11.88
11.89
11.85
11.77
11.7
11.48
Government
NA
NA
NA
NA
NA
NA
NA
NA
Corporate
1.5
1.46
1.47
1.45
1.36
1.39
1.4
1.32
Bodies Corporate
1.5
1.46
1.47
1.45
1.36
1.39
1.4
1.32
Individuals
9.32
9.32
9.3
9.3
9.41
9.45
9.49
9.72
Individual shareholders holding nominal share capital up to Rs. 1 lakh
8.39
8.39
8.37
8.35
8.46
8.48
8.51
8.74
Individual shareholders holding nominal share capital in excess of Rs. 1 lakh
0.93
0.93
0.93
0.95
0.95
0.97
0.98
0.98
Others
1.96
1.84
1.68
1.67
1.65
1.65
1.65
1.71

Promoter Holdings

in Percentages
Name
Mar2025
Dec2024
Sep2024
Jun2024
Mar2024
Dec2023
Sep2023
Jun2023
Elantas Gmbh
75
75
75
75
75
75
75
75

Public Holdings

in Percentages
Name
Mar2025
Dec2024
Sep2024
Jun2024
Mar2024
Dec2023
Sep2023
Jun2023
Anmol Sekhri Consult
1.02
1.02
1.02
1.02
1.01
1.01
1.01
1.01
Investor Education a
0
0
0
0
1.01
0
0
0
Nippon Life India Tr
7.75
7.75
7.75
7.75
7.75
7.75
7.75
7.75
Tata Mutual Fund - T
3.83
3.83
4.02
4.02
4.02
4.01
3.94
3.73

MF Holdings

Name
No. of Shares
Market Value (Rs. Cr.)
Holding %
AUM (Rs. Cr.)
NAV (Rs.)
Reporting Date
Shares Added/Reduced
Nippon India Small C
614,748
598.37
1.08
55490.73
153
31/03/2025
123
Tata Small Cap Fund
209,256
203.68
2.21
9203.23
36
31/03/2025
0
Tata Large & Mid Cap
94,264
91.75
1.14
8057.61
496
31/03/2025
0
Union Small Cap Fund
6,904
6.72
0.47
1444.06
43
31/03/2025
0
Union Retirement Fun
1,254
1.22
0.79
154.84
15
31/03/2025
-46
Note: The "Holding %" shows the % that the particular company makes up in that MF's portfolio. It does not mean that the MF holds that much % of the company. Eg: Say you are looking at Infosys MF Holdings, and the Holding % for a particular MF is 5%, then it means that Infosys makes up 5% of that MF's portfolio.