Restaurant Brand

  • Market Cap: Small Cap
  • Industry: Leisure Services
  • ISIN: INE07T201019
  • NSEID: RBA
  • BSEID: 543248
INR
63.00
0.43 (0.69%)
BSENSE

Dec 05

BSE+NSE Vol: 32.53 lacs

  • Price Points
  • Score
  • Mojo Parameters
  • Total Return
  • News and Corporate Actions
  • Key factors
  • Shareholding
  • Financials
  • CompanyCV
stock-recommendation Financial Shareholding
Shareholding Snapshot : Sep 2025stock-summary
Score and Return Performance stock-summary
Majority shareholders

Mutual Funds

Pledged Promoter Holdings

None

Mutual Funds

Held by 14 Schemes (29.97%)

FIIs

Held by 100 FIIs (20.65%)

Promoter with highest holding

Qsr Asia Pte Ltd (11.27%)

Highest Public shareholder

Hdfc Trustee Company Limited-hdfc Flexi Cap Fund (9.58%)

Individual Investors Holdings

17.23%

Shareholding Analysis
Promoters

Promoters

Promoter holding has decreased by -0.0%. However, the number of shares held by the Promoters has remained constant during the period

FII

FII

FII holding has increased by 0.13%

MF

MF

MF holding has increased by 0.42%

Insurance

Insurance

Holdings of Insurance companies has decreased by -0.16%

OtherDII

OtherDII

Other DII holding has decreased by -0.17%

NII

NII

Holdings of Non Institutional Shareholders has decreased by -0.22%

Shareholding Snapshot: Sep 25
Shareholders
Shares(Cr.)
Holding(%)
Promoters

Pledged shares

6.56

0.0

11.27%

0.0%

FIIs
12.02
20.65%
Mutual Funds
17.45
29.97%
Insurance
5.42
9.3%
Other DIIs
0.46
0.8%
Non Institutional Investors
16.31
28.01%
Others
0
0.0%
Total
58.22
100%
Promoter Holding - Sep 25
Shareholders
Total Shares(Cr.)
in %
Qsr Asia Pte Ltd
6.56
11.27%
F&b Asia Ventures (singapore) Pte Limited
0
0%
Public Shareholders (above 5%) Sep 25
Shareholders
in %
Total Shares(Cr.)
Hdfc Trustee Company Limited-hdfc Flexi Cap Fund
9.58%
5.58
Icici Prudential Life Insurance Company Limited
7.24%
4.22
Nippon Life India Trustee Ltd- A/c Nippon India Focus Fund
5.98%
3.48
Public Shareholders (above 1%) Sep 25
Shareholders
in %
Total Shares(Cr.)
Amansa Investments Ltd
4.85%
2.82
Sbi Multi Asset Allocation Fund
3.52%
2.05
Tata Mutual Fund- Tata Value Fund
3.44%
2
Jm Financial Mutual Fund - Jm Flexicap Fund
3.15%
1.84
Massachusetts Institute Of Technology
2.64%
1.54
Amansa Holdings Private Limited
2.45%
1.42
Bajaj Allianz Life Insurance Company Ltd.
2.06%
1.2
Arisaig Asia Fund Limited
1.92%
1.12
Mirae Asset Large Cap Fund
1.85%
1.07
Hara Global Capital Master Fund I Ltd
1.56%
0.91
Mercer Qif Fund Plc-mercer Investment Fund 1
1.4%
0.81
Vanguard Total International Stock Index Fund
1.06%
0.62
Shareholding Compare (%holding)
Sep 25
Jun 25
Change(%)
Promoters
11.27
11.27
0
FIIs
20.65
20.52
0.13
Mutual Funds
29.97
29.54
0.42
Insurance Companies
9.3
9.46
-0.16
Other DIIs
0.8
0.97
-0.17
Non Institution
28.01
28.23
-0.22
Promoter holding 11.27%
in Sep 2025

Figures in Cr
stock-summary

Promoter holding has decreased by -0.0%. However, the number of shares held by the Promoters has remained constant during the period

stock-summary

No change in Promoter pledged shares

FIIs Holdings 20.65%
in Sep 2025

Figures in Cr
stock-summary

FII holding has increased by 0.13%

stock-summary

Number of FIIs holding stake in the company has increased to 100 from 91

MF Holdings 29.97%
in Sep 2025

Figures in Cr
stock-summary

MF holding has increased by 0.42%

stock-summary

Number of MFs holding stake in the company has remained stable at 14

Insurance Holdings 9.3%
in Sep 2025

Figures in Cr
stock-summary

Holdings of Insurance companies has decreased by -0.16%

stock-summary

Number of Insurance companies holding stake in the company has remained stable at 2

Other DII Holdings 0.8%
in Sep 2025

Figures in Cr
stock-summary

Other DII holding has decreased by -0.17%

stock-summary

Number of Other DIIs holding stake in the company has decreased to 6 from 7

NIIs Holdings 28.01%
in Sep 2025

Figures in Cr
stock-summary

Holdings of Non Institutional Shareholders has decreased by -0.22%

stock-summary

Number of Non Institutional Shareholders holding stake in the company has increased to 228511 from 227591