SHAREHOLDING - Ordinary Equity Shares

COMPARE PUBLIC SHAREHOLDING FOR PREVIOUS QUARTERS

QuartersJUN-10MAR-10DEC-09SEP-09JUN-09
Shareholder NameNo. of Shares%No. of Shares%No. of Shares%No. of Shares%No. of Shares%
Artha Emerging Markets Fund (Mauritius) Ltd. 16,82,957 2.21 18,38,081 2.42 19,64,217 2.60
Baytree Investments (Mauritius) Pte.Ltd. 10,00,000 1.34
Caam Funds India 7,66,500 1.01 7,66,500 1.02
Capital International Emerging Markets Fund 12,45,863 1.63 12,43,933 1.64 8,90,038 1.18 8,36,336 1.11
Columbia Acorn Fund 10,00,000 1.31 10,00,000 1.32 10,00,000 1.32
Columbia Acorn International 18,06,000 2.37 20,00,000 2.63 20,00,000 2.65 18,68,376 2.48 17,00,000 2.27
Credit Suisse (Singapore) Ltd. 7,88,754 1.05 0 0.00
Deutsche Securities Mauritius Ltd. 8,27,593 1.09 8,19,637 1.09 9,32,070 1.24
Dunearn Investments (Mauritius) Pte.Ltd. 17,50,000 2.30 17,50,000 2.30 17,50,000 2.32 17,50,000 2.32 22,50,000 3.00
Edumatrix Services (India) Pvt.Ltd. 8,61,183 1.14 8,61,183 1.15
Emerging Markets Growth Fund Inc. 25,99,523 3.41 25,98,153 3.42 17,47,324 2.31 17,10,863 2.27 12,40,767 1.66
Fidelity Investment Trust:Fidelity Emerging 7,78,279 1.02 9,20,448 1.21
Goldman Sachs Investments (Mauritius) I Ltd. 15,50,602 2.06 11,00,471 1.47
ICICI Prudential Life Insurance Co.Ltd. 20,25,653 2.66 26,80,817 3.53 30,71,747 4.07 30,71,747 4.07 30,71,747 4.10
International Finance Corp. 13,23,699 1.74 19,97,780 2.63 19,97,780 2.65 19,97,780 2.65 19,97,780 2.67
Janus Worldwide Fund 16,36,672 2.15 16,78,394 2.21 13,10,056 1.73
Matthews India Fund 11,66,127 1.53 11,66,127 1.53 11,66,127 1.54 11,66,127 1.55 12,16,127 1.62
New Vernon (India) Ltd. 15,51,555 2.04 8,04,620 1.06 8,41,203 1.11 8,41,203 1.12 13,52,203 1.81
Quantum (M) Ltd. 8,83,773 1.16 30,59,353 4.06 11,03,925 1.47
Reliance Mutual Fund 9,98,744 1.31 12,50,244 1.64 15,90,464 2.11 21,92,170 2.91 21,92,170 2.93
Smallcap World Fund Inc. 43,34,949 5.69 44,34,949 5.83 46,74,949 6.19 46,74,949 6.20 46,74,949 6.24
TOTAL 2,39,00,021 31.36 2,78,41,412 36.62 2,55,90,042 33.89 2,63,69,443 34.95 2,46,93,392 32.97