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MPHASIS LTD.

17 April 2025 | 03:54

Industry >> IT Consulting & Software

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ISIN No INE356A01018 BSE Code / NSE Code 526299 / MPHASIS Book Value (Rs.) 457.12 Face Value 10.00
Bookclosure 25/07/2024 52Week High 3238 EPS 81.98 P/E 27.73
Market Cap. 43122.50 Cr. 52Week Low 2045 P/BV / Div Yield (%) 4.97 / 2.42 Market Lot 1.00
Security Type Other

Share Holding Pattern

Share Holding Pattern as on 31/03/2025
Summary statement holding of specified securities
Category of shareholder Nos. of shareholders No. of fully paid up equity shares held Total nos. shares held Shareholding as a % of total no. of shares (calculated as per SCRR, 1957)As a % of (A+B+C2) Shareholding as a % assuming full conversion of convertible securities (as a percentage of diluted share capital) As a % of (A+B+C2) Number of equity shares held in dematerialized form
(A) Promoter & Promoter Group 1 76299642 76299642 40.14 40.14 76299642
(B) Public 139811 113774679 113774679 59.86 59.86 113733127
(C1) Shares underlying DRs 0 0 0 0.00 0.00 0
(C2) Shares held by Employee Trust 1 2520 2520 0.00 0.00 2520
(C) Non Promoter-Non Public 1 2520 2520 0.00 0.00 2520
Grand Total 139813 190076841 190076841 100.00 100.00 190035289

Category of shareholder Nos. of shareholders No. of fully paid up equity shares held No. of shares underlying Depository Receipts Total nos. shares held Shareholding as a % of total no. of shares (calculated as per SCRR, 1957)As a % of (A+B+C2) Number of equity shares held in dematerialized form
Shareholding of Promoter and Promoter Group
Foreign
Any Others (Specify) 1 76299642 0 76299642 40.14 76299642
BCP TOPCO IX PTE. LTD 1 76299642 0 76299642 40.14 76299642
Grand Total17629964207629964240.1476299642
Public Shareholding
Institutions
Mutual Funds 221 43618396 0 43618396 22.95 43618396
KOTAK EMERGING EQUITY SCHEME (including other Kotak mutual funds consolidated based on PAN) 1 13657219 0 13657219 7.19 13657219
HDFC MUTUAL FUND - HDFC MID-CAP OPPORTUNITIES FUND (incl. other HDFC MF consolidated based on PAN) 1 6172982 0 6172982 3.25 6172982
MIRAE ASSET EMERGING BLUECHIP FUND (including other Mirae mutual funds consolidated based on PAN) 1 4506070 0 4506070 2.37 4506070
ICICI PRUDENTIAL MUTUAL FUND (incl. other ICICI Prudential mutual funds consolidated based on PAN) 1 2425495 0 2425495 1.28 2425495
UTI Value fund (including other UTI mutual funds consolidated based on PAN) 1 2019821 0 2019821 1.06 2019821
Insurance Companies 60 21785944 0 21785944 11.46 21785944
LIFE INSURANCE CORPORATION OF INDIA (including other LIC funds consolidated based on PAN) 1 12430498 0 12430498 6.54 12430498
HDFC LIFE INSURANCE COMPANY LIMITED (including other HDFC funds consolidated based on PAN) 1 2439163 0 2439163 1.28 2439163
Provident Funds/ Pension Funds 4 118909 0 118909 0.06 118909
Alternate Investment Funds 6 137338 0 137338 0.07 137338
NBFCs registered with RBI 2 9773 0 9773 0.01 9773
Banks 3 255469 0 255469 0.13 255269
Foreign Portfolio Investors Category I 689 37961775 0 37961775 19.97 37961775
GOVERNMENT PENSION FUND GLOBAL 1 2483413 0 2483413 1.31 2483413
KOTAK FUNDS - INDIA MIDCAP FUND 1 1975000 0 1975000 1.04 1975000
Foreign Portfolio Investors Category II 29 1216782 0 1216782 0.64 1216782
Any Other (Institutions - Domestic) 2 429709 0 429709 0.23 429709
Sub Total1016105534095010553409555.52105533895
Non-Institutions
Any Others (Specify) 14 5271 0 5271 0.00 5271
Clearing Members 7 588 0 588 0.00 588
Trusts 6 1683 0 1683 0.00 1683
Unclaimed or Suspense or Escrow Account 1 3000 0 3000 0.00 3000
Bodies Corporate 550 397782 0 397782 0.21 397682
Resident Individuals holding nominal share capital up to Rs. 2 lakhs 134655 5473560 0 5473560 2.88 5434708
Resident Individuals holding nominal share capital in excess of Rs. 2 lakhs 20 642137 0 642137 0.34 642137
Non Resident Indians (NRIs) 3534 1304609 0 1304609 0.69 1302209
Key Managerial Personnel 3 2484 0 2484 0.00 2484
Investor Education and Protection Fund (IEPF) 1 78296 0 78296 0.04 78296
Directors and their relatives (excluding independent directors and nominee directors) 2 266378 0 266378 0.14 266378
Foreign Nationals 16 70067 0 70067 0.04 70067
Sub Total1387958240584082405844.348199232
Grand Total139811113774679011377467959.86113733127
Non Promoter - Non Public shareholder
Employee Benefit Trust
Employee Benefit Trust 1 2520 0 2520 0.00 2520
Sub Total12520025200.002520
Grand Total12520025200.002520