SHAREHOLDING - Ordinary Equity Shares

COMPARE PUBLIC SHAREHOLDING FOR PREVIOUS QUARTERS

QuartersJUN-20MAR-20DEC-19SEP-19JUN-19MAR-19DEC-18SEP-18JUN-18MAR-18
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%
Calvert Impact Fund Inc.-Calvert Global Water Fund 83,36,446 1.68 64,35,517 1.30
Credit Suisse (Singapore) Ltd. 53,33,932 1.07 62,55,328 1.26
Didner & Gerge Global 61,29,253 1.23 1,15,00,000 2.32 1,15,00,000 2.32 1,15,00,000 2.32 1,15,00,000 2.32 1,15,00,000 2.32 1,15,00,000 2.32 1,15,00,000 2.32
Dimensional Emerging Markets Value Fund 52,26,407 1.05 54,62,650 1.10 62,89,030 1.27
Flowers Valley Pvt.Ltd. 76,40,000 1.54 66,40,000 1.34 66,40,000 1.34 66,40,000 1.34 66,40,000 1.34
Hardik Bharat Patel 77,97,944 1.57
ICICI Bank Ltd. (Old Name: ICICI Ltd.) 50,54,241 1.02
Ishares Core Emerging Markets Mauritius Co. 49,77,673 1.00
Kbc Eco Fund 2,06,00,335 4.15 2,11,58,311 4.26 2,33,22,386 4.70 1,76,31,058 3.55 1,28,18,105 2.58 1,18,53,336 2.39 1,03,50,583 2.09 90,99,920 1.83 89,99,639 1.81 62,59,476 1.26
Kbi Institutional Water Fund 77,63,822 1.56 85,31,856 1.72 85,31,856 1.72 85,31,856 1.72 69,89,817 1.41 65,90,168 1.33
Khazana Tradelinks Pvt.Ltd. 66,65,000 1.34 66,65,000 1.34
Mandala Rose Co.Investment Ltd. 3,62,00,000 7.29 3,62,00,000 7.29 3,62,00,000 7.29 3,62,00,000 7.29 3,62,00,000 7.29 3,62,00,000 7.29 3,62,00,000 7.29 3,62,00,000 7.29 3,62,00,000 7.29 3,62,00,000 7.29
Merrill Lynch Markets Singapore Pte.Ltd. 49,75,575 1.00 52,15,080 1.05 50,97,303 1.03
Prashant Jayantilal Patel 76,33,492 1.54
Ruchit Bharat Patel 51,74,389 1.04
Sarasin Food & Agriculture Opportunities 62,70,000 1.26 62,70,000 1.26 62,70,000 1.26 62,70,000 1.26 62,70,000 1.26 62,70,000 1.26 62,70,000 1.26 60,00,000 1.21
Skellig Dst Water Fund (Old Name: Kbi Dst Water Fund) 57,56,707 1.16 57,56,707 1.16 57,56,707 1.16 55,90,760 1.13 55,90,760 1.13
Societe Generale 1,12,31,374 2.26
Sr Global (Mauritius) Ltd.-(Class C International) 65,00,000 1.31 80,00,000 1.61 80,00,000 1.61 80,00,000 1.61 80,00,000 1.61
Templeton Funds-Templeton foreign Fund 65,20,634 1.31 66,65,634 1.34 1,18,59,610 2.39 1,18,59,610 2.39 1,18,59,610 2.39
Vantage Equity Fund 54,00,000 1.09 54,00,000 1.09
Warburg Value Fund 83,46,926 1.68 90,00,000 1.81 90,00,000 1.81 90,00,000 1.81 90,00,000 1.81 67,50,000 1.36
TOTAL 10,64,51,908 21.43 9,35,81,874 18.84 10,02,64,443 20.19 10,32,26,067 20.79 9,97,79,774 20.10 11,06,29,978 22.29 10,63,27,600 21.42 10,01,62,180 20.18 9,48,22,211 19.10 9,79,45,788 19.73