Colgate Palmolive (India) Limited FII & DII Activity
5-Day Flow Trend
| Date | FII Net (₹ Cr) | DII Net (₹ Cr) |
|---|---|---|
| 2026-09-04 | −3111.94 | +8930.12 |
| 2026-09-03 | −2345.87 | +4977.46 |
| 2026-09-02 | +6688.37 | +2812.98 |
| 2026-09-01 | −7985.88 | +4588.88 |
| 2026-08-31 | −7985.88 | +4588.88 |
Today's Institutional Flow
On 2026‑09‑04 the market recorded a net outflow of ₹‑3,111.94 Cr from foreign institutional investors (FII) in cash transactions, while domestic institutional investors (DII) posted a net inflow of ₹ 8,930.12 Cr. The contrasting directions underline a pronounced shift in participation, with foreign investors pulling back and domestic players stepping in to provide liquidity. Overall, the cash‑flow balance tilted strongly in favour of the domestic side, adding a net ₹ 5,818.18 Cr of institutional money to the market.
Trend vs 5‑Day Average
Today's FII cash outflow exceeds the five‑day average outflow of ₹‑3,333.81 Cr by roughly ₹ 221.87 Cr, suggesting a slightly milder retreat than the recent norm. Conversely, the DII inflow of ₹ 8,930.12 Cr surpasses its five‑day average of ₹ 4,430.43 Cr by about ₹ 4,499.69 Cr, indicating a markedly stronger domestic buying streak.
F&O Positioning Data
Foreign institutional investors hold a sizeable net long position in futures and options amounting to ₹ 374,795 Cr. Their index‑futures exposure shows a long‑to‑short ratio of 1.2, reflecting a modest bullish tilt in the derivatives market.
Fast Moving Consumer Goods Sector Flow
The FMCG segment, to which Colgate‑Palmolive (India) Limited belongs, has recently witnessed net FII outflows coupled with robust DII inflows, mirroring the broader market pattern of foreign retreat and domestic accumulation.
Market-wide FII/DII data — same for all F&O stocks. Date: 2026-09-04