SHAREHOLDING

COMPARE PUBLIC SHAREHOLDING FOR PREVIOUS QUARTERS

QuartersDEC-19SEP-19JUN-19MAR-19DEC-18SEP-18JUN-18MAR-18DEC-17SEP-17JUN-17MAR-17DEC-16SEP-16JUN-16MAR-16DEC-15SEP-15JUN-15MAR-15DEC-14SEP-14JUN-14MAR-14DEC-13SEP-13JUN-13MAR-13DEC-12SEP-12JUN-12MAR-12DEC-11SEP-11JUN-11MAR-11DEC-10SEP-10JUN-10MAR-10DEC-09SEP-09JUN-09
Shareholder NameNo. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%
Birla Sun Life Insurance Co.Ltd. 41,95,231 1.01 92,68,225 2.23 79,02,348 1.90
Blackrock India Equities Fund (Mauritius) Ltd. 51,97,182 1.25
BNY Mellon Emerging Markets Fund 50,39,790 1.21 47,98,050 1.15 44,78,410 1.08
Dsp Blackrock Mutual Fund 51,78,030 1.24 70,18,420 1.69 70,18,420 1.69 72,97,520 1.75 88,97,521 2.14 88,97,521 2.14 79,90,894 1.92 67,22,629 1.62 65,99,566 1.59 69,96,338 1.68 69,96,338 1.68 69,96,338 1.68 69,96,338 1.68 69,96,338 1.68 69,96,338 1.68
Dsp Mutual Fund (Old Name: Dsp Blackrock Mutual Fund) 54,95,247 1.32 46,70,337 1.12 46,70,337 1.12
Govt.Pension Fund Global (Old Name: Govt.Petroleum Fund) 48,77,876 1.17 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 52,88,165 1.27 76,00,047 1.83 87,46,637 2.10 75,12,300 1.80 56,86,399 1.37 66,28,287 1.59
Hdfc Mutual Fund 3,84,99,215 9.25 3,84,99,215 9.25 3,84,99,215 9.25 3,73,00,415 8.96 3,72,82,415 8.96 3,53,98,814 8.51 2,44,22,323 5.87 1,90,40,100 4.57 96,59,000 2.32 43,34,000 1.04
Life Insurance Corp.of India 45,26,243 1.09 45,26,243 1.09 45,26,243 1.09 45,26,243 1.09 45,26,243 1.09 1,61,52,074 3.88 2,01,52,456 4.84 2,01,52,456 4.84 2,19,26,814 5.27 2,19,26,814 5.27 2,19,26,814 5.27 2,53,39,989 6.09 2,65,89,034 6.39 2,65,89,034 6.39 2,65,89,034 6.39 2,65,89,034 6.39 2,65,89,034 6.39 2,65,89,034 6.39 2,79,10,373 6.71 2,79,10,373 6.71 2,79,10,373 6.71 2,79,10,373 6.71 2,79,10,373 6.71 2,79,10,373 6.71 2,79,10,373 6.71 2,79,10,373 6.71 2,79,10,373 6.71 2,79,10,373 6.71 2,38,10,373 5.72 2,38,10,373 5.72 2,38,10,373 5.72 2,37,74,084 5.71 2,02,74,134 4.87 2,04,55,671 4.91 1,85,62,051 4.46 1,85,62,051 4.46 1,85,62,051 4.46 1,85,62,051 4.46 1,98,05,321 4.76 1,97,30,321 4.74 1,95,87,776 4.71 1,66,80,514 4.01
Manbhawani Investments Ltd. 52,25,000 1.26 52,25,000 1.26
Massachusetts Institute of Technology 50,24,000 1.21
Master Trust Bank of Japan Ltd.,The 44,78,652 1.08 46,18,316 1.11 42,00,952 1.01 49,33,239 1.19 45,33,239 1.09 58,95,973 1.42 62,65,973 1.51 62,65,973 1.51 74,38,160 1.79 51,91,579 1.25
Principal Mutual Fund 44,43,189 1.07 42,33,171 1.02
Reliance Mutual Fund 67,02,381 1.61 67,02,381 1.61 67,02,381 1.61 67,02,381 1.61 62,02,381 1.49 59,02,381 1.42
SBI Mutual Fund 43,51,280 1.05 50,89,138 1.22
Sundaram Mutual Fund 42,86,756 1.03
Tata AIA Life Insurance Co.Ltd. 43,89,550 1.05 43,89,550 1.05
Uti Mutual Fund 64,77,096 1.56 64,77,096 1.56 72,27,096 1.74 72,27,096 1.74 70,43,408 1.69 67,54,329 1.62 66,29,648 1.59 66,09,898 1.59 61,01,213 1.47 54,67,340 1.31 54,67,340 1.31
TOTAL 5,54,95,558 13.34 5,41,72,891 13.02 5,93,66,080 14.27 5,32,86,925 12.81 4,88,52,066 11.74 4,66,79,386 11.22 4,72,04,045 11.34 5,09,80,484 12.24 4,29,31,089 10.32 3,87,46,574 9.31 3,46,91,674 8.33 3,08,24,335 7.41 3,42,37,510 8.23 3,45,79,928 8.31 4,00,14,044 9.62 4,47,68,857 10.76 4,55,75,918 10.95 4,55,75,918 10.95 4,50,75,918 10.83 4,60,97,257 11.08 4,01,94,876 9.66 4,01,94,876 9.66 3,31,98,538 7.98 3,31,98,538 7.98 3,31,98,538 7.98 3,31,98,538 7.98 3,73,93,769 8.98 4,68,56,313 11.26 4,54,90,436 10.93 2,90,98,538 6.99 3,14,10,420 7.55 3,25,57,010 7.82 4,09,62,218 9.84 3,05,78,849 7.35 2,46,56,623 5.92 2,85,35,080 6.86 2,78,93,340 6.70 2,89,36,434 6.95 2,91,79,304 7.01 3,11,60,432 7.49 3,37,96,768 8.12 3,00,04,355 7.21 2,61,92,270 6.29