SHAREHOLDING

COMPARE PUBLIC SHAREHOLDING FOR PREVIOUS QUARTERS

QuartersMAR-21DEC-20SEP-20JUN-20JUN-20MAR-20DEC-19SEP-19JUN-19MAR-19DEC-18SEP-18JUN-18MAR-18FEB-18DEC-17SEP-17JUN-17MAR-17DEC-16SEP-16JUN-16MAR-16DEC-15SEP-15JUN-15MAR-15DEC-14SEP-14JUN-14MAR-14DEC-13SEP-13JUN-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%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%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%
ADITYA BIRLA SUN LIFE MUTUAL FUND (OLD NAME: BIRLA SUN LIFE MUTUAL FUND) 1,15,72,014 1.22 1,08,25,310 1.14 1,02,34,139 1.08
AZIM HASHAM PREMJI 2,18,75,000 2.76 2,18,75,000 2.76 2,18,75,000 2.77 2,18,75,000 2.77 2,18,75,000 2.77 2,18,75,000 2.77 2,18,75,000 2.78 2,18,75,000 2.79 2,18,75,000 2.79 2,18,75,000 2.88 2,18,75,000 2.88 2,18,75,000 2.90 2,18,75,000 2.90 2,18,75,000 2.90 2,18,75,000 2.90 2,18,75,000 2.91 2,18,75,000 2.91 2,18,75,000 2.91 2,18,75,000 2.91 2,18,75,000 2.92 2,18,75,000 2.92 2,18,75,000 2.92 2,18,75,000 2.92 2,18,75,000 2.92 2,18,75,000 2.92 2,18,75,000 2.92 2,18,75,000 2.92 2,18,75,000 2.92 2,18,75,000 2.92 2,18,75,000 2.92 2,18,75,000 2.92
AZIM PREMJI TRUST 1,16,43,259 1.39 1,53,35,974 1.83 1,71,78,461 2.05 1,71,78,461 2.15 1,71,78,461 2.15 1,90,91,673 2.40 2,18,75,000 2.75
BARON EMERGING MARKETS FUND 3,82,60,642 4.02 3,64,95,897 3.83 3,53,13,978 3.71 3,53,13,978 3.71 3,47,98,623 3.66 2,25,28,302 2.68 2,23,13,426 2.65 2,08,90,049 2.48 2,08,90,049 2.48 2,06,58,022 2.46 2,04,42,727 2.43 2,04,42,727 2.43 2,03,02,025 2.42 2,03,02,025 2.42 1,77,35,974 2.12 1,76,21,259 2.21 1,64,71,259 2.07 1,31,82,686 1.65
BLUE RIDGE LP 2,34,04,970 3.12 5,15,63,350 6.88 5,15,63,350 6.88 5,15,63,350 6.88 5,15,63,350 6.88 5,15,63,350 6.88 5,15,63,350 6.88 5,15,63,350 6.88 5,15,63,350 6.88 5,15,63,350 6.88 5,15,63,350 6.88 5,15,63,350 6.88 5,15,63,350 6.88
BLUE RIDGE OFFSHORE MASTER LP 1,64,40,116 2.19 3,16,03,325 4.21 3,16,03,325 4.21 3,16,03,325 4.21 3,16,03,325 4.21 3,16,03,325 4.21 3,16,03,325 4.21 3,16,03,325 4.21 3,16,03,325 4.21 3,16,03,325 4.21 3,16,03,325 4.21 3,16,03,325 4.21 3,16,03,325 4.21
BNP PARIBAS ARBITRAGE 1,00,72,119 1.06 1,00,72,119 1.06 1,20,46,548 1.27
BNP PARIBAS ARBITRAGE-ODI 1,34,02,925 1.41
CITIGROUP GLOBAL MARKETS (MAURITIUS) PVT.LTD. 86,22,821 1.15 87,15,225 1.16 87,15,225 1.16 1,21,65,225 1.62
FIDELITY INVESTMENT TRUST:FIDELITY SERIES EMERGING MARKETS OPPORTUNITIES FUND (OLD NAME: FIDELITY INVESTMENT TRUST:FIDELITY SERIES EMERGING MARKETS FUND) 2,93,88,586 3.09 1,94,11,886 2.04 1,94,11,886 2.04 1,09,50,498 1.30 1,07,54,998 1.28 98,57,261 1.17 99,61,116 1.18
ICICI PRUDENTIAL MUTUAL FUND 4,67,90,974 4.91 4,18,42,678 4.39 3,20,49,516 3.37 3,21,08,503 3.37 3,09,71,153 3.26
IDFC MUTUAL FUND 1,29,26,806 1.54 1,23,50,808 1.47 1,23,91,138 1.48 1,23,91,138 1.48 1,29,63,925 1.63 1,73,32,548 2.18 2,07,93,384 2.62 2,08,53,073 2.63 2,35,93,546 2.99 2,35,93,546 2.99 2,42,93,546 3.08 2,35,93,546 2.99 2,35,93,546 2.99 2,26,50,000 2.89 2,26,50,000 2.89 2,26,50,000 2.98 2,26,50,000 2.99 2,26,50,000 3.00 1,91,50,000 2.54 1,59,00,000 2.11 1,22,32,679 1.62
MORGAN STANLEY ASIA (SINGAPORE) PTE. 90,81,628 1.14 3,38,73,628 4.26 3,72,04,319 4.69 3,73,59,732 4.72 3,74,16,686 4.74 4,99,28,479 6.33 5,03,83,341 6.39 6,24,44,186 7.92 5,73,08,920 7.27 5,73,08,920 7.31 5,66,39,614 7.23 5,01,46,255 6.60 4,04,76,740 5.34 2,50,86,030 3.32 2,50,86,030 3.32 2,51,10,900 3.33 2,54,56,800 3.37 2,57,00,800 3.42 2,55,55,000 3.40 2,57,39,800 3.43 2,47,05,500 3.29
MORGAN STANLEY MAURITIUS CO.LTD. 76,70,964 1.02 76,70,964 1.02 76,70,964 1.02 76,70,964 1.02 3,00,93,379 4.01 3,23,21,131 4.31 1,76,54,172 2.35 1,77,64,950 2.37 1,77,64,950 2.37 1,77,64,950 2.37
NIPPON INDIA MUTUAL FUND (OLD NAME: RELIANCE MUTUAL FUND) 2,28,90,812 2.40 2,28,56,636 2.40 1,25,64,860 1.32 1,31,85,512 1.39 1,31,86,115 1.39 86,21,827 1.02 1,06,86,418 1.27 1,23,71,911 1.47 1,18,66,064 1.41 1,16,95,156 1.39
RELIANCE EMERGENT INDIA FUND 1,17,94,483 1.40
SAIF INDIA VI FII HOLDINGS LTD. 1,51,21,775 1.59 1,51,21,775 1.59 1,51,21,775 1.59 1,51,21,775 1.59 1,51,21,775 1.59 1,51,21,775 1.80 1,51,21,775 1.80 1,51,21,755 1.80 1,51,21,775 1.80 1,51,21,775 1.80 1,51,21,775 1.80
SUNDARAM MUTUAL FUND 91,16,807 1.08
SWISS FINANCE CORP.(MAURITIUS) LTD. 1,98,49,174 2.65 1,98,49,174 2.65 1,98,49,174 2.65 1,98,49,174 2.65 1,98,49,174 2.65 1,98,49,174 2.65 1,98,49,174 2.65 1,98,49,174 2.65 1,98,49,174 2.65 1,98,49,174 2.65 1,98,49,174 2.65 1,38,49,174 1.85
TIGER GLOBAL LP 1,77,83,798 2.37 2,56,36,005 3.42 2,63,59,775 3.52 2,63,59,775 3.52 2,63,59,775 3.52 3,49,09,775 4.66
TIGER GLOBAL LTD. 1,02,90,100 1.37 1,02,90,100 1.37 1,02,90,100 1.37 1,02,90,100 1.37
TIMF HOLDINGS 1,61,09,125 1.69 1,61,09,125 1.69 1,61,09,125 1.69 1,61,09,125 1.69 1,61,09,125 1.69 1,42,88,022 1.70 1,42,88,022 1.70 1,42,88,022 1.70 1,42,88,022 1.70 1,42,88,022 1.70 1,42,88,022 1.70 1,56,02,096 1.86 1,56,02,096 1.86 1,56,02,096 1.86 1,42,88,022 1.71 1,42,88,022 1.79 1,62,16,916 2.03 2,02,03,735 2.54 2,03,28,773 2.56 2,01,73,773 2.54 1,90,63,965 2.41 1,83,94,673 2.33
VALIANT MAURITIUS PARTNERS LTD. 1,58,81,714 1.67 1,71,32,476 1.80 1,78,79,190 1.88 1,78,79,190 1.88 1,78,79,190 1.88 1,21,79,990 1.45 1,25,53,218 1.49 1,25,53,218 1.49 1,25,53,218 1.49 1,25,53,218 1.49 1,37,25,697 1.63 1,16,08,117 1.38 96,31,919 1.15 94,80,359 1.13 94,80,359 1.13 1,19,74,043 1.50 1,30,16,825 1.63 1,34,23,015 1.68 1,34,23,015 1.69 1,40,44,780 1.77 1,40,44,780 1.77 1,40,44,780 1.78 1,40,44,780 1.78 1,25,84,385 1.60 1,35,02,015 1.71 1,35,02,015 1.71 1,35,02,015 1.72 1,38,25,792 1.77 1,38,25,792 1.82 1,38,25,792 1.82 1,38,25,792 1.83 1,38,25,792 1.83 1,38,25,792 1.83 1,38,25,792 1.83 1,57,13,101 2.09 1,57,13,101 2.09 1,57,13,101 2.09 1,57,13,101 2.09 1,26,57,624 1.69 1,26,57,624 1.69 1,26,57,624 1.69 1,26,57,624 1.69 1,26,57,624 1.69 1,26,57,624 1.69 1,26,57,624 1.69 1,36,46,059 1.82 1,36,46,059 1.82 1,36,46,059 1.82 1,36,46,059 1.82 97,77,492 1.30
VALIANT MAURITIUS PARTNERS OFFSHORE LTD. 3,35,48,779 3.52 3,22,98,017 3.39 3,50,56,303 3.68 3,50,56,303 3.68 3,50,56,303 3.69 2,23,55,503 2.66 2,20,17,954 2.62 2,20,17,954 2.62 2,20,17,954 2.62 2,20,17,954 2.62 2,08,45,475 2.48 1,79,90,455 2.14 1,43,01,153 1.70 1,40,73,813 1.68 1,40,73,813 1.68 1,58,45,303 1.99 1,72,89,693 2.17 1,77,87,607 2.23 1,77,87,607 2.24 1,71,65,842 2.16 1,71,65,842 2.17 1,71,65,842 2.17 1,71,65,842 2.18 1,35,02,015 1.71 1,25,84,385 1.60 1,25,84,385 1.60 1,25,84,385 1.61 1,22,60,608 1.57 1,22,60,608 1.61 1,22,60,608 1.62 1,22,60,608 1.62 1,22,60,608 1.62 1,22,60,608 1.62 1,22,60,608 1.63 1,03,73,299 1.38 1,03,73,299 1.38 1,03,73,299 1.38 1,03,73,299 1.38 83,36,314 1.11 83,36,314 1.11 83,36,314 1.11 83,36,314 1.11 83,36,314 1.11 83,36,314 1.11 83,36,314 1.11
VIKRAM SHANKAR PANDIT 1,16,46,939 1.22 1,16,46,939 1.22 1,16,46,939 1.22 1,16,46,939 1.22 1,16,46,939 1.22 1,16,46,939 1.38 1,16,46,939 1.38 1,16,46,939 1.38 1,16,46,939 1.39 1,16,46,939 1.39 1,16,46,939 1.39 1,16,46,939 1.39 1,16,46,939 1.39 1,16,46,939 1.39 1,16,46,939 1.39 1,16,46,939 1.46 1,16,46,939 1.46 1,16,46,939 1.46 1,16,46,939 1.47 1,16,46,939 1.47 1,16,46,939 1.47 1,16,46,939 1.48 1,16,46,939 1.48 1,16,46,939 1.48 1,16,46,939 1.48 1,16,46,939 1.48 1,16,46,939 1.49 1,16,46,939 1.49
WELLINGTON TRUST CO.,NATIONAL ASSOCIATION MULTIPLE COMMON TRUST FUNDS TRUST,EMERGING MARKETS LOCAL EQUITY PORTFOLIO 1,03,28,131 1.23 1,03,28,131 1.23 1,03,28,131 1.23
WELLINGTON TRUST CO.,NATIONAL ASSOCIATION,THE 1,01,25,163 1.06 1,17,24,558 1.23 1,34,01,154 1.41 1,37,07,769 1.44 1,37,07,769 1.44 1,37,07,769 1.63 1,37,07,769 1.63 1,26,34,796 1.50 84,84,201 1.01
WELLS FARGO EMERGING MARKETS EQUITY FUND 1,15,71,429 1.21 1,15,71,429 1.21 1,15,71,429 1.22 1,15,71,429 1.22 1,15,71,429 1.22
TOTAL 22,19,47,352 23.29 22,68,71,649 23.81 25,17,46,988 26.46 24,39,84,267 25.64 24,30,97,371 25.57 13,14,00,625 15.62 13,30,90,519 15.82 13,13,81,905 15.61 13,77,18,494 16.37 11,84,80,125 14.10 11,80,93,922 14.05 9,87,01,341 11.75 9,54,78,199 11.38 9,88,32,344 11.79 9,67,94,706 11.56 10,15,17,952 12.73 9,18,20,093 11.51 12,17,49,831 15.28 11,89,34,962 14.97 14,29,04,037 18.01 14,20,09,331 17.93 14,41,37,466 18.26 13,82,54,586 17.53 13,42,85,226 17.03 14,56,46,071 18.47 14,05,10,805 17.83 13,95,67,259 17.81 13,88,97,953 17.73 12,07,57,655 15.90 11,10,88,140 14.65 9,56,97,430 12.67 9,21,97,430 12.21 8,89,72,300 11.79 8,56,50,879 11.35 7,36,62,200 9.80 7,35,16,400 9.78 7,37,01,200 9.81 11,25,11,986 14.98 14,58,84,787 19.45 14,58,84,787 19.45 15,35,55,751 20.48 15,35,55,751 20.48 15,35,55,751 20.48 15,35,55,751 20.48 19,37,61,964 25.84 19,64,94,044 26.21 20,14,63,776 26.87 20,16,66,958 26.90 20,16,66,958 26.90 20,37,98,391 27.18