Govt. Of Singapore at 6.19% in Zee Entertainment’s |March’20 qtr

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ZEE ENTERTAINMENT ENTERPRISES LIMITED is a broadcasting company, which provides its users with entertaining content, through various forms of media. The company had 95.13% of its shares through the public investments and 4.87% from the promoters, in December 2019 quarter. For the next quarter of March 2020, the public shareholdings were at 95.23% and that of the promoters were at 4.77%. On comparison of both the quarters’ public shareholding pattern, the following differences were observed:

Increase in shareholding % – SBI-ETF Nifty 50 grew from 1.47% to 2.03%. Foreign Portfolio Investors upgraded the position from 67.38% to 68.27%. The Government Of Singapore extended the values from 5.92% to 6.19%. The Monetary Authority Of Singapore stepped up from 2.72% to 2.77%. Amansa Holdings Private Limited enhanced their bet from 2.69% to 3.71%. Smallcap World Fund, Inc increased the parts from 1.95% to 2.23%. Vanguard Total International Stock Index Fund climbed up from 1.51% to 1.63%. The Financial Institutions/ Banks up-trended from 4.97% to 5.03%. The Bodies Corporate stretched from 1.00% to 1.20% The clearing members extended the values from 0.18% to 0.41%. The Trusts incremented from 0.46% to 0.57%.

Decrease in shareholding % – The total percentage of Mutual Funds reduced from 5.01% to 4.45%. Virtus Vontobel Emerging Markets Opportunities Fund decremented from 2.22% to 2.11%. The Government Pension Fund Global stepped down from 1.27% to 1.25%. The Insurance Companies lowered from 1.85% to 1.42%. The no. of shareholders investing with Individual share capital up to Rs. 2 Lacs increased from 1,35,010 to 1,74,586; and their percentage of holdings decreased from 3.23% to 2.96%. Similarly, for the shareholders with Individual share capital in excess of Rs. 2 Lacs, the value minimized from 0.06% to 0.03%. The Non-Resident Indians (NRIs) contracted their shares from 0.56% to 0.48%.

Unchanged shareholding % – The Alternate Investment Funds at 0.01%, the Central Government/ State Government(s)/ President of India at 0.15%, Invesco Oppenheimer Developing Markets Fund at 7.74%, Vanguard Emerging Markets Stock Index Fund, A Series Of Vanguard International Equity Index Funds at 1.37%, Schroder International Selection Fund Asian Opportunities at 1.05%, Vontobel India Fund at 1.01%, the Life Insurance Corporation Of India at 4.89%, the NBFCs registered with RBI at 0.00%, The foreign Company (OFI Global China Fund LLC) at 10.41%, HUF at 0.09%, IEPF at 0.03%, Overseas Corporate Bodies at 0.00% and Foreign Nationals at 0.00% had unchanged shareholdings values.

ICICI Prudential Value Discovery Fund, Wf Asian Smaller Companies Fund Limited and Vontobel Fund – Emerging Markets Equity were at 1.35%, 1.14% and 1.03% in Dec’19 quarter; they might have completely exited or have sunk below 1.00% as they disappeared in Mar’20 quarter. The no. of public shareholders increased in the latter quarter from 1,42,180 to 1,81,580. The promoters’ count was constant at 7.


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