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Responsive Industries Ltd

NSE: RESPONIND BSE: 505509

₹173.27

(2.20%)

Thu, 17 Sept 2026, 10:21 am

Responsive Industries Shareholding

ShareholdersMAR 2026DEC 2025SEPT 2025JUN 2025MAR 2025
Promoters59.1459.1459.1459.1459.14
FII32.2031.2330.6131.4031.62
DII3.223.283.303.353.51
Public5.446.356.956.115.73
Government0.000.000.000.000.00

Responsive Industries Ltd Shareholding Pattern

The Responsive Industries Ltd shareholding pattern provides detailed insights into how ownership of the company is distributed among promoters, FIIs, DIIs, public investors, and government entities. Tracking the Responsive Industries Ltd shareholding structure helps investors understand institutional confidence, promoter commitment, and overall market sentiment.

Responsive Industries Ltd (NSE: RESPONIND, BSE: 505509) operates in the Non-energy minerals sector and Forest products industry. Monitoring the Responsive Industries Ltd shareholding pattern regularly allows investors to analyze ownership trends and make informed investment decisions.

Responsive Industries Ltd Shareholding Pattern (Latest)

The latest Responsive Industries Ltd shareholding for Mar 2026 is:

  • Promoters: 59.14%
  • FII: 32.20%
  • DII: 3.22%
  • Public: 5.44%
  • Government: 0.00%

Promoter holding in Responsive Industries Ltd remains stable, reflecting consistent long-term commitment.

Responsive Industries Ltd Promoter Holding Trend

Promoter shareholding plays a crucial role in evaluating management confidence in Responsive Industries Ltd.

  • Mar 2026: 59.14%
  • Dec 2025: 59.14%
  • Sept 2025: 59.14%
  • Jun 2025: 59.14%
  • Mar 2025: 59.14%

Promoter stake remains largely stable, showing consistent ownership structure.

Responsive Industries Ltd FII Shareholding Trend

Foreign Institutional Investors (FIIs) reflect global investor sentiment toward Responsive Industries Ltd.

  • Mar 2026: 32.20%
  • Dec 2025: 31.23%
  • Sept 2025: 30.61%
  • Jun 2025: 31.40%
  • Mar 2025: 31.62%

FII holding in Responsive Industries Ltd has increased recently, indicating rising foreign investor interest.

Responsive Industries Ltd DII Shareholding Trend

Domestic Institutional Investors (DIIs) include mutual funds, banks, and insurance companies.

  • Mar 2026: 3.22%
  • Dec 2025: 3.28%
  • Sept 2025: 3.30%
  • Jun 2025: 3.35%
  • Mar 2025: 3.51%

DII holdings remain stable, reflecting steady institutional participation.

Responsive Industries Ltd Public Shareholding Trend

Public shareholding represents retail and non-institutional investors.

  • Mar 2026: 5.44%
  • Dec 2025: 6.35%
  • Sept 2025: 6.95%
  • Jun 2025: 6.11%
  • Mar 2025: 5.73%

Public holding remains stable with consistent retail participation.

Responsive Industries Ltd Government Holding

Government holding in Responsive Industries Ltd currently stands at 0.00%.

Responsive Industries Ltd operates without significant government ownership.

Responsive Industries Ltd Shareholding Analysis Summary

The Responsive Industries Ltd shareholding pattern highlights the ownership structure and investor confidence in the company. Stable promoter holdings combined with institutional participation often indicate strong fundamentals and long-term growth potential.

Investors should monitor changes in Responsive Industries Ltd shareholding for signals on institutional sentiment and ownership trends.

Regular monitoring of the Responsive Industries Ltd shareholding helps investors understand market confidence, institutional activity, and potential future stock movements.

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