SHAREHOLDING

COMPARE PUBLIC SHAREHOLDING FOR PREVIOUS QUARTERS

QuartersNOV-23SEP-23JUN-23MAR-23DEC-22SEP-22JUN-22MAR-22DEC-21DEC-21
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%
Aditya Birla Sun Life Mutual Fund (Old Name: Birla Sun Life Mutual Fund) 35,98,551 3.06 46,59,690 4.30 56,23,503 5.19 22,02,029 2.03 20,95,025 1.94 14,45,913 1.34 14,33,674 1.33 14,82,441 1.38 13,83,511 1.30 12,62,051 1.18
Ashoka India Opportunities Fund 14,11,795 1.32 14,11,795 1.32
Avataar Holdings 21,56,960 1.83 21,56,960 1.99 21,56,960 1.99 76,56,960 7.07 76,56,960 7.07 76,56,960 7.08 76,56,960 7.09 76,56,960 7.14 76,56,960 7.17 76,56,960 7.17
Goldman Sachs Funds-Goldman Sachs India Equity Portfolio 28,98,394 2.46 28,76,331 2.65 26,87,885 2.48 26,87,885 2.48 26,87,885 2.48 26,87,885 2.48 26,87,885 2.49 26,87,885 2.50 21,31,522 2.00 14,11,795 1.32
Govt.of Singapore 19,55,023 1.83 19,55,023 1.83
ICICI Prudential Mutual Fund 20,94,490 1.78 12,79,164 1.18 12,61,588 1.16 12,39,869 1.15 10,99,188 1.02 14,81,899 1.38 17,61,795 1.65 14,11,795 1.32
Integrated Core Strategies (Asia) Pte.Ltd. 12,12,218 1.14
Kotak Mahindra Life Insurance Co.Ltd. (Old Name: Kotak Mahindra Old Mutual Life Insurance Ltd.) 14,97,598 1.27
Kuwait Investment Authority-Fund Ccxxv 28,74,759 2.66 28,74,759 2.66 32,03,638 2.99 32,03,638 3.00
Nippon India Mutual Fund (Old Name: Reliance Mutual Fund) 82,60,151 7.01 82,60,151 7.62 82,60,151 7.63 1,00,56,038 9.28 1,00,55,593 9.29 40,11,453 3.71 37,43,778 3.47 31,37,663 2.92 22,73,022 2.13 15,23,022 1.43
Nomura India Investment Fund Mother Fund 14,11,795 1.30 14,11,795 1.31 14,11,795 1.32 14,11,795 1.32 14,11,795 1.32
Plutus Wealth Management Llp 75,00,000 6.37 75,00,000 6.92 75,00,000 6.92 75,00,000 6.92 72,50,000 6.70 47,50,000 4.39 35,25,000 3.26 25,00,000 2.33
Societe Generale-Odi 12,79,210 1.09
Sundaram Mutual Fund (Old Name: Sundaram Bnp Paribas Mutual Fund) 14,33,343 1.22
Wagner Ltd. 57,04,830 5.27 57,04,830 5.28 57,04,830 5.32 57,04,830 5.34 57,04,830 5.34
TOTAL 3,07,18,697 26.09 2,67,32,296 24.66 2,74,90,087 25.37 3,01,02,912 27.78 3,09,85,332 28.63 3,05,43,595 28.23 3,01,37,869 27.91 2,92,67,111 27.28 2,88,93,891 27.06 2,49,61,284 23.37