SHAREHOLDING

COMPARE PUBLIC SHAREHOLDING FOR PREVIOUS QUARTERS

QuartersJUN-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%
Arun Jain 6,75,124 2.08 6,75,124 2.08 6,75,124 2.08 6,75,124 2.08 6,75,124 2.08 6,75,124 2.08 6,75,124 2.08 6,75,124 2.08 6,75,124 2.08 6,75,124 2.08
Dolly Khanna 3,41,841 1.06 3,28,841 1.02
Dsp Blackrock Mutual Fund 6,24,481 1.93 6,24,481 1.93
Fidelity Funds-Global Technology Pool 6,63,458 2.05 6,35,718 1.96 3,44,657 1.06
Fidelity Mutual Fund 5,03,278 1.55 5,03,278 1.55 5,03,278 1.55 5,04,470 1.56 5,04,470 1.56 5,04,470 1.56 5,04,470 1.56 5,04,470 1.56 12,62,725 3.90 12,62,725 3.90
Fidelity Puritan Trust:Fidelity Low-Priced Stock Fund 14,50,000 4.48 13,50,000 4.17 13,50,000 4.17 13,50,000 4.17 11,50,000 3.55 10,50,000 3.24 10,50,000 3.24 10,50,000 3.24 10,50,000 3.24 10,50,000 3.24 10,50,000 3.24 10,50,000 3.24 10,50,000 3.24 10,50,000 3.24 10,50,000 3.24
Goldman Sachs Investments (Mauritius) Ltd. 7,57,539 2.34 7,67,619 2.37 7,12,200 2.20
Hdfc Mutual Fund 10,76,346 3.32 10,76,346 3.32 10,76,346 3.32 10,76,346 3.32 8,65,346 2.67 8,60,846 2.66 5,74,559 1.77 5,74,559 1.77 5,74,559 1.77 5,74,559 1.77 5,43,659 1.68 5,00,000 1.54 5,00,000 1.54 4,40,000 1.36
ICICI Prudential Mutual Fund 17,59,868 5.44 17,59,868 5.44 16,91,213 5.22 16,91,213 5.22 16,91,213 5.22 16,91,213 5.22 16,16,213 4.99 12,73,136 3.93 12,73,136 3.93 12,60,922 3.90 3,85,000 1.19 3,85,000 1.19 3,85,000 1.19 3,85,000 1.19 3,65,000 1.13
India Optima Fund 4,25,000 1.31
Prakash Purushottam Pai 3,26,354 1.01 3,26,354 1.01 3,26,354 1.01 3,26,354 1.01 3,36,354 1.04 3,41,354 1.05 3,47,918 1.07 3,47,918 1.07
Ravi Pratap Singh 3,27,382 1.01 3,27,382 1.01 3,27,382 1.01 3,47,377 1.07 3,47,377 1.07 3,47,377 1.07
Sarathi Electronics & Build Trade Pvt.Ltd. 4,40,172 1.36 4,40,172 1.36
Smaller Companies Portfolio of the Genesis Emerging Markets Opportunities Fund Ltd. 6,33,659 1.96 13,59,678 4.20
TOTAL 53,03,179 16.38 51,90,179 16.03 47,92,683 14.79 47,92,683 14.79 43,81,683 13.52 42,77,183 13.21 39,15,896 12.09 40,76,097 12.59 40,76,097 12.59 43,90,237 13.56 40,97,422 12.65 43,53,405 13.44 41,95,402 12.96 38,10,825 11.77 37,45,401 11.57 30,31,851 9.37 37,57,870 11.61