| Quarters | SEP-10 | JUN-10 | MAR-10 | DEC-09 | SEP-09 | JUN-09 | 
| Shareholder Name | No. of Shares | % | No. of Shares | % | No. of Shares | % | No. of Shares | % | No. of Shares | % | No. of Shares | % | 
| Dsp Blackrock Mutual Fund |      6,24,481 |      1.93 |       |       |       |       |       |       |       |       |       |       | 
| Fidelity Funds-Global Technology Pool |      6,35,718 |      1.96 |      3,44,657 |      1.06 |       |       |       |       |       |       |       |       | 
| Fidelity Mutual Fund |      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 |      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 |      5,00,000 |      1.54 |      5,00,000 |      1.54 |      4,40,000 |      1.36 |       |       |       |       |       |       | 
| ICICI Prudential Mutual Fund |      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 |      3,36,354 |      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 |      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 |