SHAREHOLDING

COMPARE PUBLIC SHAREHOLDING FOR PREVIOUS QUARTERS

QuartersJUN-24MAR-24DEC-23SEP-23SEP-23JUN-23JUN-23MAR-23DEC-22SEP-22
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%
Arisaig Asia Fund Ltd. 10,12,699 1.69 14,31,983 2.39 19,13,704 3.19 22,11,846 3.69 22,19,441 3.70 24,36,359 3.98 25,31,888 4.14 15,36,494 5.02 13,98,516 4.57 13,28,780 4.34
Arisaig Global Emerging Markets Fund (Singapore) Pte.Ltd. 14,14,463 2.36 14,16,616 2.36 15,36,521 2.51 16,02,544 2.62 8,61,097 2.81 8,61,097 2.81 7,40,097 2.42
Artisan International Small-Mid Fund 8,52,732 1.42 8,52,732 1.42 8,52,732 1.39 8,52,732 1.39 4,43,377 1.45 4,43,377 1.45 4,72,993 1.54
Dinesh Gulati 6,33,218 1.06 6,38,218 1.06 6,74,730 1.12 6,76,730 1.13 6,76,730 1.13 6,98,206 1.14 6,98,206 1.14 3,50,842 1.15 3,66,620 1.20 3,66,620 1.20
First Sentier Investors Icvc-Stewart Investors Indian Subcontinent Sustainability Fund 8,65,422 1.44 8,25,733 1.38 7,63,463 1.27
ICICI Prudential Mutual Fund 12,34,951 2.06 13,51,301 2.25 4,12,797 1.35 4,79,897 1.57
Kuwait Investment Authority-Fund Ccxxv 3,23,324 1.06 3,86,651 1.26
Madhup Agrawal 8,91,394 1.49 9,31,394 1.55 9,48,961 1.58 9,48,541 1.58 9,48,541 1.58 9,65,970 1.58 9,65,970 1.58 4,82,985 1.58 4,82,880 1.58 4,82,817 1.58
Mercer Qif Fund Plc-Mercer Investment Fund I 6,62,601 1.10 6,70,838 1.12 7,24,830 1.18 7,24,830 1.18 3,79,535 1.24 3,79,535 1.24 3,10,725 1.01
SBI Mutual Fund 16,35,299 2.73 7,37,130 1.23 6,00,487 1.00
Uti Mutual Fund 13,99,093 2.33 14,42,093 2.40 14,82,698 2.47 14,01,125 2.34 14,01,125 2.34 14,93,390 2.44 14,90,434 2.43 7,91,256 2.58 7,97,256 2.60 7,47,994 2.44
Westbridge Crossover Fund Llc 7,64,003 1.27 15,11,395 2.52 19,69,563 3.28 19,69,563 3.28 19,69,563 3.28 20,10,948 3.28 20,10,948 3.28 10,09,722 3.30 10,09,722 3.30 10,09,722 3.30
TOTAL 84,36,079 14.07 88,69,247 14.78 83,53,606 13.91 1,01,37,601 16.90 1,01,55,586 16.93 1,07,18,956 17.50 1,08,77,552 17.76 62,68,105 20.48 65,42,224 21.38 58,46,399 19.09