NEXUS VENTURES III LIMITED
|
Bulk |
Sell
|
21 Aug 2024 |
440 |
7,819,563 |
No |
NSE |
HSBC INDIAN EQUITY MOTHER FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
142,933 |
No |
BSE |
HSBC INDIA INFRASTRUCTURE EQUITY MOTHER FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
1,407,971 |
No |
BSE |
HSBC INDIAN EQUITY FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
4,149 |
No |
BSE |
HSBC GLOBAL INVESTMENT FUNDS INDIAN EQUITY
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
256,456 |
No |
BSE |
HSBC COLLECTIVE INVESTMENT TRUST - HSBC EVOLVING ASIA EQUITY FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
154,831 |
No |
BSE |
HSBC INDIEN
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
67,301 |
No |
BSE |
HSBC COLLECTIVE INVESTMENT TRUST - HSBC INDIA MULTI INCOME FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
7,449 |
No |
BSE |
MORGAN STANLEY ASIA SINGAPORE PTE
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
1,950,001 |
No |
BSE |
ICICI PRUDENTIAL LIFE INSURANCE COMPANY LIMITED
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
3,350,900 |
No |
BSE |
BOFA SECURITIES EUROPE SA
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
296,091 |
No |
BSE |
SOCIETE GENERALE
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
260,004 |
No |
BSE |
GHISALLO MASTER FUND LP
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
875,002 |
No |
BSE |
BLACKSTONE AQUA MASTER SUB-FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
257,503 |
No |
BSE |
COPTHALL MAURITIUS INVESTMENT LIMITED
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
1,175,001 |
No |
BSE |
OPTIMAS GLOBAL ALPHA FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
257,503 |
No |
BSE |
VERITION MULTI-STRATEGY MASTER FUND LTD.
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
257,501 |
No |
BSE |
ADITYA BIRLA SUN LIFE MUTUAL FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
2,594,595 |
No |
BSE |
ADITYA BIRLA SUN LIFE MUTUAL FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
1,081,078 |
No |
BSE |
ADITYA BIRLA SUN LIFE MUTUAL FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
324,328 |
No |
BSE |
NIPPON INDIA MUTUAL FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
2,520,500 |
No |
BSE |
FMRC FIDELITY EMERGING MARKETS FUND
|
Block |
Purchase
|
10 Jul 2024 |
388.45 |
6,190,403 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
257,501 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
257,503 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
257,503 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
260,004 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
296,091 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
875,002 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
1,175,001 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
1,950,001 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
2,041,090 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
2,520,500 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
3,350,900 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
4,000,001 |
No |
BSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
10 Jul 2024 |
388.45 |
6,190,403 |
No |
BSE |
SMALLER CAP WORLD FUND INC (35 SCWF/000035)
|
Bulk |
Purchase
|
24 Apr 2024 |
444.30 |
13,819,289 |
No |
NSE |
AMERICAN FUND INSURANCE A/C AMERICAN INSURANCE SERIES GLOBAL SMALL CAPITALISATION FUND
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
2,110,711 |
No |
NSE |
FIDELITY MGT AND RESEARCH CO. A/C FIDELITY ADVISOR SERIES VIII : FIDELITY ADVISOR EMERGING ASIA FUND
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
118,800 |
No |
NSE |
FIDELITY INTERNATIONAL DISCOVERY COMMINGLED POOL
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
227,800 |
No |
NSE |
FIDELITY INVESTMENT TRUST A/C. FIDELITY SOUTHEAST ASIA FUND F351
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
282,700 |
No |
NSE |
FIDELITY INVESTMENT TRUST FIDELITY INTERNATIONAL DISCOVERY K6 FUND
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
203,400 |
No |
NSE |
FIDELITY MANAGEMENT AND RESEARCH CO. A/C FIDELITY FAR EAST FUND
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
73,900 |
No |
NSE |
FIDELITY MANAGEMENT AND RESEARCH CO A/C FIDELITY INVESTMENT TRUST FIDELITY INT DISCOVERY FUND
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
2,843,400 |
No |
NSE |
THE MASTER TRUST BANKER JAPAN LTD A/C HSBC INDIAN EQUITY MOTHER FUND (HK0991950)
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
148,566 |
No |
NSE |
HSBC COLLECTIVE INVESTMENT TRUST HSBC INDIA MULTI INCOME FUND
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
4,769 |
No |
NSE |
HSBC GLOBAL INVESTMENT FUNDS INDIAN EQUITY
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
174,693 |
No |
NSE |
HSBC INDIA INFRASTRUCTURE EQUITY MOTHER FUND (HSBC GLOBAL) (HK1018480)
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
378,762 |
No |
NSE |
HSBC INDIAN EQUITY FUND (HSBC GLOBAL ) (SG1020932/CANADA)
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
2,623 |
No |
NSE |
HSBC INDIEN
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
60,587 |
No |
NSE |
SMALLER CAP WORLD FUND INC (35 SCWF/000035)
|
Block |
Purchase
|
24 Apr 2024 |
444.30 |
13,819,289 |
No |
NSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Bulk |
Sell
|
24 Apr 2024 |
444.30 |
20,450,000 |
No |
NSE |
CANADA PENSION PLAN INVESTMENT BOARD
|
Block |
Sell
|
24 Apr 2024 |
444.30 |
20,450,000 |
No |
NSE |
CHIMETECH HOLDING LIMITED
|
Bulk |
Sell
|
01 Mar 2024 |
470.01 |
7,664,750 |
No |
NSE |
OMERS ADMINISTRATION CORPORATION
|
Block |
Purchase
|
06 Dec 2023 |
393.50 |
1,084,521 |
No |
NSE |
OMERS CAPITAL MARKETS ASIA HOLDINGS PTE. LTD.
|
Block |
Sell
|
06 Dec 2023 |
393.50 |
1,084,521 |
No |
NSE |
SVF DOORBELL (CAYMAN) LIMITED
|
Bulk |
Sell
|
17 Nov 2023 |
403.51 |
18,305,480 |
No |
NSE |
NORGES BANK ON ACCOUNT OF GOVERNMENT PETROLEUM FUND
|
Bulk |
Purchase
|
22 Jun 2023 |
385.50 |
4,066,805 |
No |
BSE |
BNP PARIBAS ARBITRAGE
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
1,570,000 |
No |
BSE |
GOLDMAN SACHS (SINGAPORE) PTE
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
540,000 |
No |
BSE |
CITIGROUP GLOBAL MARKETS MAURITIUS PRIVATE LIMITED
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
260,000 |
No |
BSE |
MORGAN STANLEY MAURITIUS COMPANY LIMITED
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
520,000 |
No |
BSE |
NORGES BANK ON ACCOUNT OF GOVERNMENT PETROLEUM FUND
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
4,066,805 |
No |
BSE |
SOCIETE GENERALE
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
2,320,607 |
No |
BSE |
AVENDUS ABSOLUTE RETURN FUND
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
260,000 |
No |
BSE |
SAUDI CENTRAL BANK
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
2,207,195 |
No |
BSE |
UNISUPER LIMITED AS TRUSTEE OF UNISUPER
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
317,224 |
No |
BSE |
AIA SINGAPORE PRIVATE LIMITED
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
185,308 |
No |
BSE |
TOKIO MARINE LIFE INSURANCE SINGAPORE LIMITED
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
95,913 |
No |
BSE |
BARCLAYS MULTI MANAGER FUND PUBLIC LIMITED COMPANY
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
80,957 |
No |
BSE |
DEKA INTERNATIONAL S.A. RE DEKALUXTEAM-AKTIEN ASIEN
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
193,724 |
No |
BSE |
SCHRODER ASIAN GROWTH FUND
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
526,874 |
No |
BSE |
AMAZON MARKET NEUTRAL FUND
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
44,140 |
No |
BSE |
REGAL INVESTMENT FUND
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
66,962 |
No |
BSE |
REGAL TACTICAL OPPORTUNITIES FUND
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
107,430 |
No |
BSE |
TASMAN MARKET NEUTRAL FUND
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
41,468 |
No |
BSE |
BEST INVESTMENT CORPORATION
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
398,940 |
No |
BSE |
INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
372,433 |
No |
BSE |
IOOF INVT SERC LTD ARE FOR MULTIMIX WHOLESALE INTERNATIONAL SHARES TRUST
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
91,075 |
No |
BSE |
JANA EMERGING MARKETS SHARE TRUST
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
72,448 |
No |
BSE |
LGT SELECT FUNDS-LGT SELECT EQUITY EMERGING MARKETS
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
276,845 |
No |
BSE |
LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION PLANS MASTER TRUST
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
156,630 |
No |
BSE |
LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
190,511 |
No |
BSE |
OPTIMIX WHOLESALE GLOBAL EMERGING MARKETS SHARE TRUST
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
121,542 |
No |
BSE |
TELSTRA SUPER PTY LTD AS TRUSTEE FOR TELSTRA SUPERANNUATION SCHEME
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
159,395 |
No |
BSE |
TT EMERGING MARKETS OPPORTUNITIES FUND II LIMITED
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
698,605 |
No |
BSE |
TT EMERGING MARKETS OPPORTUNITIES FUND
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
71,574 |
No |
BSE |
TT EMERGING MARKETS EQUITY FUND
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
635,176 |
No |
BSE |
TT EMERGING MARKETS UNCONSTRAINED FUND
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
617,573 |
No |
BSE |
TT HORIZON OPPORTUNITIES FUND LIMITED
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
340,436 |
No |
BSE |
WASHINGTON STATE INVESTMENT BOARD
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
489,871 |
No |
BSE |
VFM EMERGING MARKETS TRUST
|
Block |
Purchase
|
22 Jun 2023 |
385.50 |
306,946 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Bulk |
Sell
|
22 Jun 2023 |
385.50 |
18,404,607 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Block |
Sell
|
22 Jun 2023 |
385.50 |
260,000 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Block |
Sell
|
22 Jun 2023 |
385.50 |
260,000 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Block |
Sell
|
22 Jun 2023 |
385.50 |
260,000 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Block |
Sell
|
22 Jun 2023 |
385.50 |
520,000 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Block |
Sell
|
22 Jun 2023 |
385.50 |
540,000 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Block |
Sell
|
22 Jun 2023 |
385.50 |
1,400,000 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Block |
Sell
|
22 Jun 2023 |
385.50 |
1,570,000 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Block |
Sell
|
22 Jun 2023 |
385.50 |
2,207,195 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Block |
Sell
|
22 Jun 2023 |
385.50 |
2,320,607 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Block |
Sell
|
22 Jun 2023 |
385.50 |
4,066,805 |
No |
BSE |
CA SWIFT INVESTMENTS
|
Block |
Sell
|
22 Jun 2023 |
385.50 |
5,000,000 |
No |
BSE |
INTERNET FUND III PTE LTD
|
Bulk |
Sell
|
11 Apr 2023 |
330 |
11,753,735 |
No |
BSE |
VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND
|
Bulk |
Purchase
|
17 Mar 2023 |
323.07 |
4,762,115 |
No |
NSE |
VANGUARD EMERGING MARKETS STOCK INDEX FUND A SERIES OF VIEIF
|
Bulk |
Purchase
|
17 Mar 2023 |
323.07 |
4,798,412 |
No |
NSE |
INTEGRATED CORE STRATEGIES (ASIA) PTE. LTD.
|
Bulk |
Sell
|
17 Mar 2023 |
320.83 |
3,926,559 |
No |
NSE |
INTERNET FUND III PTE. LTD.
|
Bulk |
Sell
|
17 Mar 2023 |
321.21 |
5,513,758 |
No |
NSE |
REGAL INVESTMENT FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
207,138 |
No |
BSE |
REGAL TACTICAL OPPORTUNITIES FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
294,458 |
No |
BSE |
AMAZON MARKET NEUTRAL FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
124,425 |
No |
BSE |
TASMAN MARKET NEUTRAL FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
123,979 |
No |
BSE |
MORGAN STANLEY MAURITIUS COMPANY LIMITED
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
792,783 |
No |
BSE |
BNP PARIBAS ARBITRAGE
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
800,000 |
No |
BSE |
SOCIETE GENERALE
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
2,400,000 |
No |
BSE |
FIDELITY INDIA FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
166,325 |
No |
BSE |
FIDELITY KOREA-INDIA EQUITY INVESTMENT TRUST-MOTHER
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
80,425 |
No |
BSE |
DENDANA INVESTMENTS MAURITIUS LTD
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
117,133 |
No |
BSE |
FIDELITY FUNDS - INDIA FOCUS FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
2,307,878 |
No |
BSE |
BAILLIE GIFFORD EMERGING MARKETS FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
321,228 |
No |
BSE |
BAILLIE GIFFORD EMERGING MKTS GROWTH FD A SUB FD OF BG OVRSEA GRWTH FD ICVC
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
667,697 |
No |
BSE |
BAYVK A2-FONDS
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
341,746 |
No |
BSE |
TEACHERS RETIREMENT SYSTEM OF THE CITY OF NEW YORK
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
8,215 |
No |
BSE |
VIRGINIA RETIREMENT SYSTEM
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
211,519 |
No |
BSE |
CITY OF NEW YORK GROUP TRUST
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
879,899 |
No |
BSE |
VANGUARD EMERGING MARKETS SELECT STOCK FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
93,845 |
No |
BSE |
BAILLIE GIFFORD EMERGING MARKETS COLLECTIVE INVESTMENT FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
82,761 |
No |
BSE |
CITY OF NEW YORK GROUP TRUST
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
84,615 |
No |
BSE |
OPSEU PENSION PLAN TRUST FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
188,494 |
No |
BSE |
STATE OF INDIANA PUBLIC EMPLOYEES RETIREMENT FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
72,337 |
No |
BSE |
BAILLIE GIFFORD EMERGING MARKETS EQUITIES FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
2,409,370 |
No |
BSE |
CITY OF NEW YORK GROUP TRUST
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
227,267 |
No |
BSE |
CITY OF NEW YORK GROUP TRUST
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
1,708,978 |
No |
BSE |
VANGUARD INVESTMENTS FUNDS ICVC - VANGUARD GLOBAL EMERGING MARKETS FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
60,521 |
No |
BSE |
TEACHERS RETIREMENT SYSTEM OF THE CITY OF NEW YORK
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
140,879 |
No |
BSE |
INVESCO PACIFIC EQUITY FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
131,674 |
No |
BSE |
BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
389,298 |
No |
BSE |
INVESCO PERPETUAL FAR EASTERN INVESTMENT SERIES
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
3,494,288 |
No |
BSE |
TA ASIA HIGH CONVICTION MANDATE
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
14,724 |
No |
BSE |
INVESCO PERPETUAL FAR EASTERN INVESTMENT SERIES
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
258,284 |
No |
BSE |
BEST INVESTMENT CORPORATION
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
1,637,765 |
No |
BSE |
BUREAU OF LABOR FUNDS - LABOR PENSION FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
910,239 |
No |
BSE |
INVESCO ASIAN EQUITY FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
2,747,905 |
No |
BSE |
ST JAMES'S PLACE MULTI ASSET UNIT TRUST
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
165,209 |
No |
BSE |
QUILTER INVEST ASIA PAC (EX JAPAN) LARGE-CAP EQ FD A SUB FD OF QI OEIC
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
375,234 |
No |
BSE |
INVESCO GLOBAL TARGETED RETURNS SELECT FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
5,410 |
No |
BSE |
INVESCO GLOBAL TARGETED RETURNS FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
27,305 |
No |
BSE |
INVESCO PERPETUAL GLOBAL TARGETED RETURNS FUND
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
41,089 |
No |
BSE |
SAUDI ARABIAN MONETARY AUTHORITY
|
Block |
Purchase
|
01 Mar 2023 |
340.80 |
2,137,661 |
No |
BSE |
SVF DOORBELL (CAYMAN) LIMITED
|
Bulk |
Sell
|
01 Mar 2023 |
340.80 |
28,000,000 |
No |
BSE |
SVF DOORBELL (CAYMAN) LIMITED
|
Block |
Sell
|
01 Mar 2023 |
340.80 |
750,000 |
No |
BSE |
SVF DOORBELL (CAYMAN) LIMITED
|
Block |
Sell
|
01 Mar 2023 |
340.80 |
750,000 |
No |
BSE |
SVF DOORBELL (CAYMAN) LIMITED
|
Block |
Sell
|
01 Mar 2023 |
340.80 |
792,783 |
No |
BSE |
SVF DOORBELL (CAYMAN) LIMITED
|
Block |
Sell
|
01 Mar 2023 |
340.80 |
800,000 |
No |
BSE |
SVF DOORBELL (CAYMAN) LIMITED
|
Block |
Sell
|
01 Mar 2023 |
340.80 |
2,400,000 |
No |
BSE |
SVF DOORBELL (CAYMAN) LIMITED
|
Block |
Sell
|
01 Mar 2023 |
340.80 |
2,671,761 |
No |
BSE |
SVF DOORBELL (CAYMAN) LIMITED
|
Block |
Sell
|
01 Mar 2023 |
340.80 |
7,499,371 |
No |
BSE |
SVF DOORBELL (CAYMAN) LIMITED
|
Block |
Sell
|
01 Mar 2023 |
340.80 |
12,336,085 |
No |
BSE |
INTERNET FUND III PTE. LTD.
|
Bulk |
Sell
|
22 Feb 2023 |
335.06 |
12,363,060 |
No |
NSE |
MORGAN STANLEY ASIA (SINGAPORE) PTE. - ODI
|
Bulk |
Purchase
|
21 Nov 2022 |
330 |
4,854,607 |
No |
NSE |
CA SWIFT INVESTMENTS
|
Bulk |
Sell
|
21 Nov 2022 |
330.02 |
18,404,607 |
No |
NSE |