SHAREHOLDING

COMPARE PUBLIC SHAREHOLDING FOR PREVIOUS QUARTERS

QuartersDEC-23SEP-23JUN-23MAR-23MAR-23DEC-22SEP-22JUN-22MAR-22DEC-21SEP-21JUN-21MAR-21DEC-20SEP-20JUN-20MAR-20DEC-19SEP-19SEP-19
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%
Amansa Holdings Pvt.Ltd. 10,92,000 1.25 10,92,000 1.25 10,92,000 1.25 10,92,000 1.25 10,92,000 1.25 10,92,000 1.26 10,92,000 1.28
Amit Nitin Shah 47,01,811 1.31 48,01,811 1.34 53,86,011 1.51 54,01,011 1.52 55,10,672 1.55 14,19,434 1.60 14,19,434 1.60 14,19,434 1.60 14,19,434 1.60 14,19,434 1.60 14,19,434 1.60 14,68,421 1.67 14,68,421 1.67 15,68,421 1.79 15,68,421 1.80 15,68,421 1.80 15,68,421 1.80 15,68,421 1.80 15,68,421 1.81 15,68,421 1.84
Bank Muscat India Fund 71,98,984 2.01 71,98,984 2.01 71,98,984 2.02 71,98,984 2.02 71,98,984 2.02 17,99,746 2.02 17,99,746 2.03 17,99,746 2.03 17,99,746 2.03 17,99,746 2.03 17,99,746 2.04 17,99,746 2.05 17,99,746 2.05 17,99,746 2.05 17,99,746 2.06 17,99,746 2.06 17,99,746 2.06 17,99,746 2.07 17,99,746 2.07 17,99,746 2.11
Bc Asia Investments X Ltd. 8,86,20,000 24.72 8,86,20,000 24.75 8,86,20,000 24.82 8,86,20,000 24.89 8,86,20,000 24.89 2,21,55,000 24.90
Bharat Himatlal Parajia 14,28,571 1.68
Capital Income Builder 1,89,20,520 5.28 1,89,20,520 5.28 1,89,20,520 5.30 1,89,20,520 5.31 1,89,20,520 5.31 47,30,130 5.32
Fidelity Investment Trust:Fidelity Emerging Markets Fund 65,81,856 1.84 56,63,156 1.58 56,63,156 1.59 39,68,456 1.11 39,68,456 1.11 9,92,114 1.12 9,92,114 1.12
FIH Mauritius Investments Ltd. 72,49,000 2.04 82,85,820 2.33 21,82,749 2.45 1,20,91,635 13.61 1,20,91,635 13.62 1,20,91,635 13.63 1,20,91,635 13.64 1,20,91,635 13.67 1,20,91,635 13.75 1,20,91,635 13.76 1,20,91,635 13.79 1,20,91,635 13.84 1,20,91,635 13.87 1,20,91,635 13.87 1,20,91,635 13.88 1,20,91,635 13.92 1,20,91,635 14.20
General atlantic Singapore Fund Pte.Ltd. 41,42,910 1.16 82,85,820 2.33 72,86,000 2.05 20,71,455 2.33 1,86,19,550 20.96 1,86,19,550 20.98 1,86,19,550 20.99 1,86,19,550 21.00 1,86,19,550 21.05 1,86,19,550 21.17 1,86,19,550 21.19 1,86,19,550 21.24 1,86,19,550 21.31 1,86,19,550 21.35 1,86,19,550 21.36 1,86,19,550 21.38 1,86,19,550 21.44 1,86,19,550 21.87
Govt.Pension Fund Global (Old Name: Govt.Petroleum Fund) 91,06,387 2.54 40,00,000 1.12 52,48,010 1.47
Hsbc Mutual Fund 36,21,336 1.01
HWIC Asia Fund Class A Shares 40,51,790 4.58 40,51,790 4.61 40,51,790 4.61 40,51,790 4.62 40,51,790 4.64 40,51,790 4.65 40,51,790 4.65 40,51,790 4.65 40,51,790 4.67 40,51,790 4.76
ICICI Prudential Mutual Fund 1,08,14,234 3.02 77,47,204 2.16
Iifl Wealth Management Ltd. 16,35,247 1.88
Morgan Stanley Investment Funds Emerging Leaders Equity Fund 10,57,391 1.19 10,57,391 1.19 10,57,391 1.19 10,26,256 1.16
Rimco (Mauritius) Ltd. 79,76,000 2.23 79,76,000 2.23 79,76,000 2.23 79,76,000 2.24 79,76,000 2.24 19,94,000 2.24 19,94,000 2.24 19,94,000 2.25 19,94,000 2.25 19,94,000 2.25 19,94,000 2.25 19,94,000 2.27 19,94,000 2.27 19,94,000 2.27 19,94,000 2.28 19,94,000 2.29 19,94,000 2.29 19,94,000 2.29 19,94,000 2.30 19,94,000 2.34
Satpal Khattar 8,88,075 1.04
Smallcap World Fund Inc. 2,86,61,784 8.00 2,85,08,784 7.96 2,85,08,784 7.99 2,84,85,776 8.00 2,84,85,776 8.00 71,10,521 7.99 43,79,654 4.93 43,79,654 4.93 43,79,654 4.94 43,79,654 4.94 43,79,654 4.95 43,50,654 4.95 43,50,654 4.95 43,50,654 4.96 42,22,154 4.83 43,24,454 4.96 43,24,454 4.96 43,24,454 4.96 27,25,227 3.14
Sundaram Mutual Fund (Old Name: Sundaram Bnp Paribas Mutual Fund) 10,91,083 1.24 9,63,106 1.10 9,15,920 1.05
Vanguard Total International Stock Index Fund 36,50,764 1.02
WF Asian Reconnaissance Fund Ltd. 88,04,922 2.46 1,02,09,283 2.85 1,50,64,547 4.22 1,60,20,496 4.50 1,60,20,496 4.50 42,17,847 4.74 42,17,847 4.75 42,17,847 4.75 53,57,837 6.04 53,57,837 6.04 53,57,837 6.05 53,57,837 6.09 40,54,905 4.61 40,54,905 4.63 39,54,905 4.52 33,67,182 3.87 31,32,390 3.60 27,15,390 3.12 27,15,390 3.13 27,15,390 3.19
TOTAL 19,50,07,834 54.42 18,72,96,506 52.30 18,67,28,922 52.31 19,21,26,063 53.96 19,22,72,724 54.00 4,86,72,996 54.71 4,65,71,371 52.43 4,55,79,257 51.35 4,67,19,247 52.67 4,66,88,112 52.66 4,97,13,646 56.19 4,97,33,633 56.56 4,95,21,784 56.35 5,05,85,807 57.70 5,03,10,121 57.58 4,89,08,778 56.10 4,86,73,986 55.84 4,82,56,986 55.40 4,82,93,006 55.62 4,62,49,178 54.31