SHAREHOLDING

COMPARE PUBLIC SHAREHOLDING FOR PREVIOUS QUARTERS

QuartersMAR-23DEC-22SEP-22JUN-22MAR-22DEC-21SEP-21JUN-21MAR-21DEC-20SEP-20JUN-20MAR-20DEC-19SEP-19JUN-19MAR-19DEC-18SEP-18JUN-18MAR-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%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%
AXIS MUTUAL FUND 3,33,083 1.40 2,93,456 1.24 2,84,759 1.20 2,38,005 1.00
BRIGHT STAR INVESTMENTS PVT.LTD. 3,06,770 1.29 3,06,770 1.29 3,31,770 1.40 3,31,770 1.40 3,31,770 1.40 3,48,770 1.47 3,48,770 1.47 3,98,770 1.68 4,65,770 1.96 4,66,764 1.97 5,36,764 2.26 7,36,764 3.11 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35 7,95,934 3.35
CANARA ROBECO MUTUAL FUND 3,85,004 1.62
DAMANI ESTATES & FINANCE PVT.LTD. 2,77,252 1.17 3,03,062 1.28 3,03,062 1.28 3,03,062 1.28 3,03,062 1.28 3,03,062 1.28 3,03,062 1.28 3,03,062 1.28 3,03,062 1.28 3,03,062 1.28 3,03,062 1.28 3,03,062 1.28 3,03,062 1.28
DERIVE TRADING PVT.LTD./PAC 12,68,696 5.35 12,70,147 5.35 12,70,147 5.35 12,70,147 5.35 12,70,147 5.35 12,70,147 5.35 12,70,147 5.35 12,68,696 5.35 12,68,696 5.35 12,82,007 5.40 12,82,239 5.40 13,04,296 5.50 13,04,296 5.50 13,04,296 5.50 13,02,996 5.49 13,02,996 5.49 13,02,996 5.49 13,02,996 5.49 13,02,996 5.49 13,04,447 5.50 13,04,447 5.50 13,04,447 5.50 13,04,447 5.50 13,04,447 5.50 13,04,447 5.50 13,04,447 5.50
DERIVE TRADING PVT.LTD./PACS 12,68,696 0.00
FIRST SENTIER INVESTORS GLOBAL UMBRELLA FUND PLC-STEWART INVESTORS INDIAN SUBCONTINENT SUSTAINABILITY FUND 2,75,545 1.16
GOVT.PENSION FUND GLOBAL (OLD NAME: GOVT.PETROLEUM FUND) 2,37,813 1.00 2,63,140 1.11 2,65,752 1.12 2,87,000 1.21 2,87,000 1.21 2,87,000 1.21 2,87,000 1.21
HSBC MUTUAL FUND 2,45,564 1.03
ICICI PRUDENTIAL LIFE INSURANCE CO.LTD. 6,46,684 2.73 6,46,854 2.73 6,62,101 2.79 8,31,645 3.50 8,37,688 3.53 8,37,710 3.53 8,37,711 3.53 8,37,714 3.53 9,58,872 4.04 10,18,226 4.29 10,55,214 4.45 8,62,775 3.64 8,64,283 3.64 8,87,710 3.74 8,83,458 3.72 8,97,391 3.78 8,62,017 3.63 6,68,750 2.82 2,51,543 1.06 2,73,144 1.15
ICICI PRUDENTIAL MUTUAL FUND 3,72,692 1.57 3,72,935 1.57 4,17,678 1.76 4,03,883 1.70 4,36,898 1.84
IDFC MUTUAL FUND 3,57,877 1.51 3,35,000 1.41 3,60,000 1.52 3,60,000 1.52 3,60,000 1.52 3,68,977 1.56 3,69,643 1.56 3,84,654 1.61 3,89,654 1.64 4,28,861 1.81 4,55,408 1.92 4,63,600 1.95 4,83,034 2.04 5,03,100 2.12 5,04,694 2.13 5,78,650 2.44 6,02,379 2.54 6,04,679 2.55 6,36,321 2.68 6,36,321 2.68 4,75,300 2.00 4,75,300 2.00 4,75,300 2.00 4,75,300 2.00 4,75,300 2.00 4,75,300 2.00 4,70,000 1.98 4,70,000 1.98 4,77,997 2.01 4,34,760 1.83 4,34,760 1.83 4,32,231 1.82 4,32,231 1.82 4,32,231 1.82
KOTAK MAHINDRA MUTUAL FUND 3,81,840 1.61 3,07,216 1.29 3,07,338 1.30 3,27,542 1.38 3,28,282 1.38 2,51,776 1.06 2,82,820 1.19
L&T MUTUAL FUND 3,82,763 1.61 4,16,405 1.75 4,24,902 1.79 4,03,859 1.70 3,83,610 1.62 4,08,100 1.72 2,96,523 1.25 2,78,310 1.17 2,47,805 1.04
LIFE INSURANCE CORP.OF INDIA 2,47,167 1.04 3,91,474 1.65 4,26,857 1.80 6,20,844 2.62 6,20,844 2.62 6,20,844 2.62 6,20,844 2.62 6,20,844 2.62 6,20,844 2.62 6,20,844 2.62 6,20,844 2.62 6,20,844 2.62 6,20,682 2.62 5,70,135 2.40 5,15,737 2.17 4,48,157 1.89
MATTHEWS INDIA FUND 2,56,854 1.08 3,15,534 1.33 4,75,939 2.01 4,75,939 2.01 4,75,939 2.01 4,75,939 2.01 4,75,939 2.01 3,94,990 1.66 3,80,973 1.61 3,80,973 1.61 3,80,973 1.61 3,80,973 1.61 3,80,973 1.61 3,80,973 1.61 3,80,973 1.61 3,46,973 1.46 2,61,973 1.10 2,98,865 1.26 2,84,273 1.20 2,83,044 1.19
SBI LIFE INSURANCE CO.LTD. 2,83,545 1.19 2,83,747 1.20 3,09,001 1.30 3,12,688 1.32 3,02,741 1.28 3,17,599 1.34 3,53,459 1.49
SBI MUTUAL FUND 2,99,356 1.26 3,67,281 0.00 4,04,400 1.70 4,04,400 1.70 4,04,400 1.70 4,24,400 1.79 4,80,400 2.02 5,49,506 2.32 6,70,506 2.83 6,74,006 2.84 7,65,834 3.23 8,11,997 3.42 9,64,597 4.07 11,42,515 4.82 9,40,441 3.96 10,19,900 4.30 10,54,216 4.44 10,70,512 4.51 11,19,246 4.72 11,24,362 4.74 11,99,975 5.06 12,73,594 5.37 12,21,095 5.15 12,19,895 5.14 12,34,868 5.20 12,22,163 5.15 12,08,271 5.09 12,06,732 5.09
T.ROWE PRICE INTERNATIONAL DISCOVERY FUND 2,18,479 0.92
TATA MUTUAL FUND 2,65,710 1.12
UNIT TRUST OF INDIA 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00 200 0.00
TOTAL 19,95,843 8.41 15,06,404 6.34 16,83,972 7.10 19,07,362 8.03 19,22,642 8.10 20,89,282 8.80 19,61,565 8.27 20,71,441 8.73 23,42,009 9.87 26,61,396 11.22 30,46,509 12.84 27,89,155 11.77 28,40,977 11.97 29,23,284 12.32 30,79,437 12.98 30,93,370 13.04 30,57,996 12.89 32,37,259 13.65 27,69,748 11.67 27,00,745 11.37 23,32,009 9.83 22,16,423 9.34 18,68,067 7.87 18,05,563 7.61 18,21,866 7.68 17,75,112 7.48 15,37,107 6.48 15,12,084 6.37 3,69,843 1.56 25,66,349 3.90 26,45,362 11.15 26,96,682 11.37 27,25,687 11.49 24,60,888 10.37 27,69,659 11.67 29,14,025 12.28 27,08,487 11.41 27,87,104 11.75 29,23,909 12.32 29,85,683 12.58 31,70,157 13.36 33,70,132 14.20 27,20,037 11.46 27,99,496 11.80 28,32,512 11.94 28,48,808 12.01 28,97,542 12.21 29,02,658 12.23 29,72,971 12.53 30,48,041 12.85 30,03,539 12.66 29,59,102 12.47 29,74,075 12.53 29,58,841 12.47 29,44,949 12.41 29,43,410 12.40