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Astra Microwave Products Limited

Capital Goods · Aerospace & Defense

NSE: ASTRAMICRO BSE: 532493

Shareholding pattern / Ownership

Shareholding summary

Jun 2026
  • Promoter6.54%
  • Mutual funds15.37%
  • FII/FPI10.74%
  • Other DII0.72%
  • Public66.63%

Largest holders

NameCategoryShares %Shares
RATNABALI INVESTMENT PRIVATE LIMITEDPublic6.3000%5982063
EMERALD COMPANY PRIVATE LIMITEDPublic4.6300%4397055
HDFC MUTUAL FUND - HDFC DEFENCE FUNDPublic4.3400%4116306
ATIM KABRAPublic3.5300%3356074
PRAKASH ANAND CHITRAKARPromoter3.4100%3240830

As of June 30, 2026. Only holders the filing discloses individually.

Historical promoter holding

Promoters holdings were unchanged at 6.54% in Jun 2026 qtr

Historical fii holding

FII/FPI holdings increased from 7.56% to 10.74% in Jun 2026 qtr

Historical mutual fund holding

Mutual funds holdings increased from 13.96% to 15.37% in Jun 2026 qtr

6 mutual fund schemes also hold this stock.

All shareholding details →

Shareholding Trend (Promoter/FII/DII %, real filed periods only)

HolderJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024Latest change
Promoter 6.54%6.54%6.54%6.54%6.54%6.54%6.54%6.54% 0.00 pp
FII 10.74%7.56%6.27%6.47%6.46%5.30%5.19%5.69% 3.18 pp
DII 16.09%15.42%14.76%14.55%14.37%15.31%15.36%14.99% 0.67 pp
Mutual funds (within DII) 15.37%13.96%12.33%11.24%10.95%11.21%10.79%10.42% 1.41 pp
Public (non-institutional) 66.63%70.48%72.43%72.44%72.63%72.85%72.91%72.78% -3.85 pp

Public (non-institutional) = SEBI's Public total minus FII minus DII, shown only where all three were filed. A dash means that holder category filed nothing for that quarter. Holder counts are as filed (entities, not schemes).

Shareholding Pattern (latest quarter)

Category% holdingShareholders
Grand Total 100.0000 117894
(B) Public 93.4600 117892
(A) Promoter & Promoter Group 6.5400 2
(C1) Shares underlying DRs 0.0000 0
(C) Non Promoter-Non Public 0.0000 0
(C2) Shares held by Employee Trust 0.0000 0

Mutual fund holdings

6 schemes in our data hold this stock as of Aug. 31, 2026 — weight is the share of each scheme's portfolio. Over 3 months 0 raised and 6 cut the weight. Covers the funds in our feed (about 670 schemes), not every scheme in the market; the feed has no share counts or rupee values.

SchemeWeight in scheme3M change in weight
Kotak Focused Fund 2.76% -0.44 pp
Kotak Focused Fund(IDCW Payout) 2.76% -0.44 pp
Kotak Contra Fund(IDCW Payout) 1.22% -0.21 pp
Kotak Large & Midcap Fund(IDCW Payout) 1.19% -0.11 pp
ICICI Pru ELSS Tax Saver Fund(IDCW) 1.02% -0.08 pp
ICICI Pru Multicap Fund(IDCW-Payout) 0.51% -0.07 pp

Named Shareholders

Individually-disclosed large holders as of June 30, 2026 -- the filing only names holders large/notable enough to be individually disclosed, not every real shareholder.

NameCategory% holdingShares
RATNABALI INVESTMENT PRIVATE LIMITED Public · Details Of Shares Held By Bodies Corporate 6.3000 5982063
EMERALD COMPANY PRIVATE LIMITED Public · Details Of Shares Held By Bodies Corporate 4.6300 4397055
HDFC MUTUAL FUND - HDFC DEFENCE FUND Public · Mutual Funds Or U T I 4.3400 4116306
ATIM KABRA Public · Details Of Shares Held By Directors And Directors Relatives 3.5300 3356074
PRAKASH ANAND CHITRAKAR Promoter · Individuals Or H U F 3.4100 3240830
RENUKA CHITRAKAR Promoter · Individuals Or H U F 3.1200 2964997
ADVENTZ FINANCE PRIVATE LIMITED Public · Details Of Shares Held By Bodies Corporate 2.9000 2750000
KOTAK LARGE & MIDCAP FUND Public · Mutual Funds Or U T I 2.4200 2300000
NIPPON LIFE INDIA TRUSTEE LTD-A/C NIPPON INDIA SMALL CAP FUND Public · Mutual Funds Or U T I 2.3200 2200000
TEXMACO INFRASTRUCTURE & HOLDINGS LIMITED Public · Details Of Shares Held By Bodies Corporate 2.2700 2153255
MOUNT INTRA FINANCE PRIVATE LIMITED Public · Details Of Shares Held By Bodies Corporate 2.0300 1930000
GENESIS ADVERTISING PRIVATE LIMITED Public · Details Of Shares Held By Bodies Corporate 1.7900 1700000
STRATEGIC VENTURES LIMITED Public · Details Of Shares Held By Foreign Companies 1.7600 1672097
MOTILAL OSWAL NIFTY INDIA DEFENCE INDEX FUND Public · Mutual Funds Or U T I 1.1700 1107886

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