GEOJITFSL

Geojit Financial Services Shareholding Pattern

₹77.98-0.89%
Market cap
₹2,177 crore
P/E
30.0
P/B
1.81
ROE
6.8%
Dividend yield
1.92%

As of 30-JUN-2026, promoters held 38.48% of Geojit Financial Services (0.00 pp from 31-MAR-2026), foreign institutional investors 1.58%, domestic institutions 10.05% and the public 49.89%.

Geojit Financial Services shareholding pattern

Percentage of shares held, by quarter, newest first.

Geojit Financial Services shareholding by category (% of equity)
Holder30-JUN-202631-MAR-202631-DEC-202530-SEP-202530-JUN-202531-MAR-2025Change
Promoters38.48%38.48%38.48%51.73%52.14%n/a0.00 pp
Foreign institutions (FII/FPI)1.58%1.87%2.58%2.96%3.53%n/a-0.29 pp
Domestic institutions (DII)10.05%9.88%10.13%0.84%0.84%n/a+0.17 pp
Public49.89%49.78%48.81%44.48%43.49%n/a+0.11 pp

Source: Shareholding patterns filed with the stock exchanges (company filings). Data as of 7 October 2026. How this data is compiled.

Geojit Financial Services shareholding pattern — frequently asked questions

What is the promoter holding in Geojit Financial Services?

Promoters held 38.48% of Geojit Financial Services as of 30-JUN-2026, unchanged from 38.48% in 31-MAR-2026.

How much do FIIs hold in Geojit Financial Services?

Foreign institutional investors held 1.58% of Geojit Financial Services as of 30-JUN-2026, a change of -0.29 pp from the previous quarter.

How much do domestic institutions hold in Geojit Financial Services?

Domestic institutional investors, including mutual funds and insurers, held 10.05% of Geojit Financial Services as of 30-JUN-2026 (+0.17 pp from the previous quarter).

Who owns Geojit Financial Services?

As of 30-JUN-2026, Geojit Financial Services' shareholders were promoters (38.48%), foreign institutional investors 1.58%, domestic institutions 10.05% and the public 49.89%, as filed with the stock exchanges.

Same Data For Peers

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Figures are for information only and are not investment advice or a recommendation to buy, sell or hold any security. Investments in securities are subject to market risks; read all related documents carefully before investing.