Responsive Industries shareholding pattern

RESPONIND

190.59

0.73 (0.38%)
Last updated on 9 Feb, 2026 | 14:49 IST
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Responsive Industries Shareholding Pattern

  • 2018-19
  • 2019-20
  • 2020-21
  • 2021-22
  • 2022-23
  • 2023-24
  • 2024-25
  • 2025-26
  • 2016-17
Total Promoters
Segment
Percent

Total Promoters

50.13%

Mutual Fund

0%

Insurance

3.59%

Foreign Institutional Investors

5.3%

Domestic Institutional Investors

0.01%

Retail

40.97%

Others

0%

Total Promoters
SEP '20
50.13%
DEC '20
50.13%

Summary

For Year 2025-26, Responsive Industries reports the following shareholding: Total Promoters at 59.14%, Mutual Fund at 0%, Insurance at 3.28%, Foreign Institutional Investors at 31.23%, Domestic Institutional Investors at 0%, and Retail at 6.35%. This breakdown provides a quick snapshot of ownership distribution for Responsive Industries in 2025-26.

Responsive Industries FAQs

As of 02-2026, the promoter shareholding in Responsive Industries stands at 59.14% of the company's total shares. Promoter shareholding represents the ownership stake held by the company's founding members, management, or controlling entities, having a significant influence on the company's strategic direction and operations.

The FII and DII shareholding of Responsive Industries is 31.23% and 0% respectively.

The retail shareholding of the Responsive Industries is 6.35%.

Changes in shareholding patterns of Responsive Industries can result from stock market transactions, issuance of new shares, buybacks, mergers, acquisitions, or changes in promoter holdings.

Shareholding patterns of Responsive Industries are updated quarterly as mandated by regulatory authorities and may also be disclosed during significant corporate events.

The latest shareholding pattern is available on stock exchanges (e.g., NSE, BSE) and the company's official website under investor relations.