Stock Market Strategy – Ownership Analysis – Institutional Stake Moderates In Q1 FY22: Motilal Oswal

BQ Blue’s special research section collates quality and in-depth equity and economy research reports from across India’s top brokerages, asset managers and research agencies. These reports offer BloombergQuint’s subscribers an opportunity to expand their understanding of companies, sectors and the economy.

Motilal Oswal Report

Equity markets have seen strong rally in CY21 and Nifty-50 and NSE Midcap-100 are up 13%/32% year-to-date 2021.

Within the NSE-500, we see divergent sequential trends between foreign institutional investor and domestic institutional investor purchases.

DIIs raised weights in automobiles, insurance, non banking financial companies, oil and gas, and real estate, while FIIs reduced weights QoQ.

On the other hand, FIIs increased weights in capital goods, chemicals and consumer, whereas DIIs trimmed weights QoQ.

FIIs and DIIs posted inflows of $0.8 billion and $2.7 billion in Q1 FY22, respectively.

In this report, we dive deep into the ownership of the various sectors/companies in the Nifty-500 to see how this changed in Q1 FY22.

Click on the attachment to read the full report:

Motilal Oswal India Strategy Holdings.pdf


This report is authored by an external party. BloombergQuint does not vouch for the accuracy of its contents nor is responsible for them in any way. The contents of this section do not constitute investment advice. For that you must always consult an expert based on your individual needs. The views expressed in the report are that of the author entity and do not represent the views of BloombergQuint.

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