UBS AG
|
Block |
Purchase
|
23 Jan 2025 |
1689.90 |
150,426 |
No |
NSE |
UBS PRINCIPAL CAPITAL ASIA LIMITED
|
Block |
Sell
|
23 Jan 2025 |
1689.90 |
150,426 |
No |
NSE |
EUROPACIFIC GROWTH FUND
|
Bulk |
Purchase
|
29 Aug 2024 |
1719.75 |
2,500,000 |
No |
BSE |
AXIS MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
91,935 |
No |
BSE |
AXIS MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
45,968 |
No |
BSE |
AXIS MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
119,516 |
No |
BSE |
AXIS MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
128,710 |
No |
BSE |
AXIS MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
91,936 |
No |
BSE |
AXIS MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
91,935 |
No |
BSE |
COPTHALL MAURITIUS INVESTMENT LIMITED ODI ACCOUNT
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
270,000 |
No |
BSE |
CANARA ROBECO MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
59,000 |
No |
BSE |
EUROPACIFIC GROWTH FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
2,500,000 |
No |
BSE |
GHISALLO MASTER FUND LP
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
200,000 |
No |
BSE |
GOLDMAN SACHS (SINGAPORE) PTE.- ODI
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
1,214,000 |
No |
BSE |
HDFC STANDARD LIFE INSURANCE CO LTD
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
260,000 |
No |
BSE |
ICICI PRUDENTIAL LIFE INSURANCE COMPANY LIMITED
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
150,000 |
No |
BSE |
PRU WORLD FD, INC. PGIM JENNISON EMERGING MARKETS EQUITY OPPORTUNITIES FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
216,934 |
No |
BSE |
PGIM FUNDS PLC-PGIM JENNISON EMERGING MARKETS EQUITY FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
24,266 |
No |
BSE |
ADVANCED SERIES TRUST AST PRUDENTIAL GROWTH ALLOCATION PORTFOLIO
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
8,800 |
No |
BSE |
MIRAE ASSET MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
80,000 |
No |
BSE |
MIRAE ASSET MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
112,000 |
No |
BSE |
MIRAE ASSET MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
48,000 |
No |
BSE |
MARSHALL WACE INVESTMENT STRATEGIES EUREKA FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
285,901 |
No |
BSE |
MARSHALL WACE INVESTMENT STRATEGIES TOPS FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
23,541 |
No |
BSE |
MARSHALL WACE INVESTMENT STRATEGIES MARKET NEUTRAL TOPS FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
320,213 |
No |
BSE |
MARSHALL WACE INVESTMENT STRATEGIES TOPS EMERGING MARKETS ALPHA FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
12,610 |
No |
BSE |
MWIS - TOPS EMERGING MARKETS ABSOLUTE RETURN FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
39,583 |
No |
BSE |
MWIS - WORLD TOPS ENVIRONMENTAL FOCUS LONG FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
3,152 |
No |
BSE |
EMPLOYEES PROVIDENT FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
173,271 |
No |
BSE |
TNTBC AS THE TRUSTEE OF NOMURA INDIA STOCK MOTHER FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
296,729 |
No |
BSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
1,177,846 |
No |
BSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
581,396 |
No |
BSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
792,758 |
No |
BSE |
SOCIETE GENERALE ODI
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
210,000 |
No |
BSE |
VERITION MULTISTRATEGY MASTER FUND LTD
|
Block |
Purchase
|
29 Aug 2024 |
1719.75 |
70,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Bulk |
Sell
|
29 Aug 2024 |
1719.75 |
9,700,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
59,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
70,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
150,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
200,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
210,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
240,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
250,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
260,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
270,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
470,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
570,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
685,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
1,214,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
2,500,000 |
No |
BSE |
TENCENT CLOUD EUROPE BV
|
Block |
Sell
|
29 Aug 2024 |
1719.75 |
2,552,000 |
No |
BSE |
TENCENT CLOUD EUROPE B.V.
|
Bulk |
Sell
|
06 Jun 2024 |
1259.71 |
3,300,000 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
31 May 2024 |
1287.58 |
2,329,320 |
Yes |
NSE |
BNP PARIBAS FINANCIAL MARKETS
|
Bulk |
Purchase
|
31 May 2024 |
1251.80 |
3,924 |
No |
NSE |
COPTHALL MAURITIUS INVESTMENT LIMITED
|
Bulk |
Purchase
|
31 May 2024 |
1270.33 |
23,498 |
No |
NSE |
BNP PARIBAS FINANCIAL MARKETS
|
Bulk |
Sell
|
31 May 2024 |
1287.33 |
2,733,318 |
No |
NSE |
INTEGRATED CORE STRATEGIES (ASIA) PTE. LTD.
|
Bulk |
Sell
|
31 May 2024 |
1293.42 |
3,701,969 |
No |
NSE |
UBS PRINCIPAL CAPITAL ASIA LIMITED
|
Bulk |
Sell
|
31 May 2024 |
1292.89 |
2,666,853 |
No |
NSE |
COPTHALL MAURITIUS INVESTMENT LIMITED
|
Bulk |
Sell
|
31 May 2024 |
1291.67 |
2,964,667 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
31 May 2024 |
1288.68 |
2,329,320 |
Yes |
NSE |
TENCENT CLOUD EUROPE BV
|
Bulk |
Sell
|
28 May 2024 |
1208.20 |
5,500,000 |
No |
NSE |
ABU DHABI INVESTMENT AUTHORITY - WAY
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
154,000 |
No |
NSE |
AL MEHWAR COMMERCIAL INVESTMENTS L.L.C. - (WHITING
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
76,000 |
No |
NSE |
SOCIETE GENERALE - ODI
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
1,595,000 |
No |
NSE |
AMERICAN FUNDS INSURANCE SERIES A/C AMERICAN FUNDS
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
26,756 |
No |
NSE |
ASHOKA INDIA EQUITY INVESTMENT TRUST PLC
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
56,000 |
No |
NSE |
AXIS MUTUAL FUND
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
125,000 |
No |
NSE |
AXIS MUTUAL FUND
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
875,000 |
No |
NSE |
AXIS MUTUAL FUND-AXIS GROWTH OPPORTUNITIES FUND
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
300,000 |
No |
NSE |
BNP PARIBAS ARBITRAGE - ODI
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
80,000 |
No |
NSE |
CAISSE DE DEPOT ET PLACEMENT DU QUEBEC - WHITE OAK
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
36,000 |
No |
NSE |
CAPITAL GROUP GLOBAL EQUITY FUND (CANADA)
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
192,689 |
No |
NSE |
CAPITAL GROUP NEW WORLD FUND (LUX)
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
3,929 |
No |
NSE |
DENDANA INVESTMENTS (MAURITIUS) LIMITED
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
4,600 |
No |
NSE |
GHISALLO MASTER FUND LP
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
420,000 |
No |
NSE |
GOLDMAN SACHS (SINGAPORE) PTE.- ODI
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
345,000 |
No |
NSE |
HDFC MUTUAL FUND
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
375,000 |
No |
NSE |
HDFC STANDARD LIFE INSURANCE COMPANY LIMITED
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
350,000 |
No |
NSE |
HSBC ASIAPACIFIC FUND
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
3,565 |
No |
NSE |
HSBC GLOBAL INVESTMENT FUNDS - ASIA EX JAPAN EQUIT
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
46,353 |
No |
NSE |
HSBC GLOBAL INVESTMENT FUNDS - MANAGED SOLUTIONS -
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
1,838 |
No |
NSE |
HSBC POOLED INVESTMENT FUND -HSBC POOLED ASIA PACI
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
229,814 |
No |
NSE |
ICICI PRUDENTIAL LIFE INSURANCE COMPANY LTD
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
350,000 |
No |
NSE |
INDIA ACORN FUND LTD
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
31,000 |
No |
NSE |
INDIA ACORN ICAV
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
242,775 |
No |
NSE |
INDIA ACORN ICAV ASHOKA INDIA ESG FUND
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
2,220 |
No |
NSE |
INTERNATIONAL MONETARY FUND (IN RESPECT OF THE INT
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
4,195 |
No |
NSE |
INTERNATIONAL MONETARY FUND (IN RESPECT OF THE INT
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
14,235 |
No |
NSE |
MARSHALL WACE INVESTMENT STRATEGIES - EUREKA FUND
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
44,909 |
No |
NSE |
MARSHALL WACE INVESTMENT STRATEGIES - SYSTEMATIC A
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
5,101 |
No |
NSE |
MARSHALL WACE INVESTMENT STRATEGIES TOPS FUND
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
10,261 |
No |
NSE |
MARSHALL WACE INVESTMENT STRATEGIES-MARKET NEUTRAL
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
61,769 |
No |
NSE |
MARSHALL WACE INVESTMENT STRATEGIES-TOPS EMERGING
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
3,610 |
No |
NSE |
MARSHALL WACE INVESTMENT STRATEGIES-TOPS INTERNATI
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
3,153 |
No |
NSE |
MARSHALL WACE INVESTMENT STRATEGIES-TOPS WORLD EQU
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
11,468 |
No |
NSE |
MORGAN STANLEY ASIA (SINGAPORE) PTE.
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
200,000 |
No |
NSE |
MORGAN STANLEY ASIA (SINGAPORE) PTE. - ODI
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
1,465,000 |
No |
NSE |
MWIS - TOPS EMERGING MARKETS ABSOLUTE RETURN FUND
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
9,218 |
No |
NSE |
MWIS - WORLD TOPS ENVIRONMENTAL FOCUS LONG FUND
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
511 |
No |
NSE |
NEW WORLD FUND INC
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
449,609 |
No |
NSE |
RELIANCE CAPITAL TRUSTEE CO. LTD- A/C RELIANCE NRI
|
Block |
Purchase
|
17 May 2024 |
1325.15 |
165,000 |
No |
NSE |
ALOK BANSAL
|
Bulk |
Sell
|
17 May 2024 |
1325.15 |
2,970,578 |
No |
NSE |
YASHISH DAHIYA
|
Bulk |
Sell
|
17 May 2024 |
1325.15 |
5,400,000 |
No |
NSE |
ALOK BANSAL
|
Block |
Sell
|
17 May 2024 |
1325.15 |
2,970,578 |
No |
NSE |
YASHISH DAHIYA
|
Block |
Sell
|
17 May 2024 |
1325.15 |
5,400,000 |
No |
NSE |
SOCIETE GENERALE
|
Block |
Purchase
|
23 Apr 2024 |
1201.70 |
379,064 |
No |
NSE |
MARSHALL WACE INVESTMENT STRATEGIES - EUREKA FUND
|
Block |
Sell
|
23 Apr 2024 |
1201.70 |
379,064 |
No |
NSE |
THE JUPITER GLOBAL FUND-JUPITER INDIA SELECT
|
Block |
Purchase
|
21 Feb 2024 |
998.10 |
225,081 |
No |
BSE |
JUPITER SOUTH ASIA INVESTMENT COMPANY LIMITED
|
Block |
Sell
|
21 Feb 2024 |
998.10 |
225,081 |
No |
BSE |
PI OPPORTUNITIES FUND II
|
Bulk |
Sell
|
02 Feb 2024 |
985.07 |
4,643,528 |
No |
BSE |
NEW WORLD FUND INC
|
Block |
Purchase
|
01 Feb 2024 |
992.80 |
4,705,015 |
No |
BSE |
NEW WORLD FUND INC
|
Block |
Purchase
|
01 Feb 2024 |
992.80 |
7,725,000 |
No |
BSE |
CAPITAL GROUP NEW WORLD FUND (LUX)
|
Block |
Purchase
|
01 Feb 2024 |
992.80 |
123,452 |
No |
BSE |
AMERICAN FUNDS INSURANCE SERIES NEW WORLD FUND
|
Block |
Purchase
|
01 Feb 2024 |
992.80 |
881,140 |
No |
BSE |
CAPITAL GROUP GLOBAL EQUITY FUND (CANADA)
|
Block |
Purchase
|
01 Feb 2024 |
992.80 |
2,531,606 |
No |
BSE |
NEW WORLD FUND INC
|
Block |
Purchase
|
01 Feb 2024 |
992.80 |
2,096,483 |
No |
BSE |
SMALLCAP WORLD FUND INC
|
Block |
Purchase
|
01 Feb 2024 |
992.80 |
6,367,319 |
No |
BSE |
CLAYMORE INVESTMENTS (MAURITIUS) PTE.LTD.
|
Bulk |
Sell
|
01 Feb 2024 |
992.80 |
12,000,000 |
No |
BSE |
CLAYMORE INVESTMENTS (MAURITIUS) PTE.LTD.
|
Bulk |
Sell
|
01 Feb 2024 |
992.80 |
12,430,015 |
No |
BSE |
CLAYMORE INVESTMENTS (MAURITIUS) PTE.LTD.
|
Block |
Sell
|
01 Feb 2024 |
992.80 |
12,000,000 |
No |
BSE |
CLAYMORE INVESTMENTS (MAURITIUS) PTE.LTD.
|
Block |
Sell
|
01 Feb 2024 |
992.80 |
4,705,015 |
No |
BSE |
CLAYMORE INVESTMENTS (MAURITIUS) PTE.LTD.
|
Block |
Sell
|
01 Feb 2024 |
992.80 |
7,725,000 |
No |
BSE |
SOCIETE GENERALE
|
Block |
Purchase
|
25 Jan 2024 |
922.95 |
499,860 |
No |
BSE |
MARSHALL WACE INVESTMENT STRATEGIESGTOPS FUND
|
Block |
Purchase
|
25 Jan 2024 |
922.95 |
237,989 |
No |
BSE |
MARSHALLWACEINVESTMENTSTRATEGIESMARKETNEUTRALTOPSFUND
|
Block |
Purchase
|
25 Jan 2024 |
922.95 |
28,728 |
No |
BSE |
MARSHALL WACE INVESTMENT STRATEGIES EUREKA FUND
|
Block |
Purchase
|
25 Jan 2024 |
922.95 |
882,868 |
No |
NSE |
MARSHALL WACE INVESTMENT STRATEGIES MARKET NEUTRAL TOPS FUND
|
Block |
Purchase
|
25 Jan 2024 |
922.95 |
45,547 |
No |
NSE |
MARSHALL WACE INVESTMENT STRATEGIES TOPS FUND
|
Block |
Purchase
|
25 Jan 2024 |
922.95 |
250,450 |
No |
NSE |
BNP PARIBAS ARBITRAGE
|
Block |
Sell
|
25 Jan 2024 |
922.95 |
266,717 |
No |
BSE |
BNP PARIBAS ARBITRAGE
|
Block |
Sell
|
25 Jan 2024 |
922.95 |
499,860 |
No |
BSE |
SOCIETE GENERALE
|
Block |
Sell
|
25 Jan 2024 |
922.95 |
1,178,865 |
No |
NSE |
BG WW ASIA EX JAPAN FUND A SUB FUND OF BAILLIE GIFFORD WORLDWIDE FUNDS PLC
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
15,168 |
No |
BSE |
PACIFIC HORIZON INVESTMENT TRUST PLC
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
157,276 |
No |
BSE |
BAILLIE GIFFORD PACIFIC FUND A SUB FUND OF BG OVERSEAS GRWTH FD ICVC
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
956,045 |
No |
BSE |
BEST INVESTMENT CORPORATION
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
1,127,723 |
No |
BSE |
SMALLCAP WORLD FUND INC
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
273,164 |
No |
BSE |
NEW WORLD FUND, INC
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
1,638,985 |
No |
BSE |
AMERICAN FUNDS INSURANCE SERIES - NEW WORLDFUND
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
103,647 |
No |
BSE |
CAPITAL GROUP NEW WORLD FUND (LUX)
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
14,204 |
No |
BSE |
GOLDMAN SACHS (SINGAPORE) PTE.- ODI
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
175,000 |
No |
BSE |
HDFC MUTUAL FUND
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
1,150,000 |
No |
BSE |
ICICI PRUDENTIAL LIFE INSURANCE COMPANY LIMITED
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
370,000 |
No |
BSE |
MIRAE ASSET MUTUAL FUND
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
573,171 |
No |
BSE |
MIRAE ASSET MUTUAL FUND
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
229,268 |
No |
BSE |
MIRAE ASSET MIDCAP FUND
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
137,561 |
No |
BSE |
TNTBC AS THE TRUSTEE OF NOMURA INDIA STOCK MOTHER FUND
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
500,000 |
No |
BSE |
GOVERNMENT PENSION FUND GLOBAL
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
1,650,000 |
No |
BSE |
SOCIETE GENERALE ODI
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
1,550,000 |
No |
BSE |
WELLINGTON MGT COMPANY LLP A/C EMERGING MARKET EQUITY PORTFOLIO
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
14,842 |
No |
BSE |
WELLINGTON TRUST COMPANY NATIONAL ASSOCIATION MULTIPLE COLLECTIVE INVESTMENT FUNDS TRUST EMERGING MA
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
137,933 |
No |
BSE |
HARTFORD INTERNATIONAL EQUITY FUND
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
22,682 |
No |
BSE |
IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
73,925 |
No |
BSE |
WELLINGTON MANAGEMENT PORTFOLIOS AUSTRALIA EMERGING MARKETS EQUITY PORTFOLO
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
129,932 |
No |
BSE |
WEL MGT CO LLP A/C WTCNAM COLL INV FUNDS TRUST II GLOBAL EQUITIESPORTFOLIO
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
12,540 |
No |
BSE |
UNITED SUPER PTY LTD AS TRUSTEE FOR C.B.U.S. FUND
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
83,053 |
No |
BSE |
WELL MGT CO LLP A/C THE WELLINGTON TR CO NAM COMM TR FDSTR EMG MKTS POF
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
168,808 |
No |
BSE |
WTCNAM CIF TRUST II DOWNSIDE ALPHA OPPORTUNITIES PORTFOLIO
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
2,771 |
No |
BSE |
WMF (LUXEMBOURG) - WELLINGTON DOWNSIDE ALPHA OPPORTUNITIES FUND
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
2,388 |
No |
BSE |
MTBJ AS TRUSTEE OF KOKUSAI EMERGING EQUITY OPEN MOTHER FUND
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
10,244 |
No |
BSE |
TRESURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT FUND POOLED TRUST
|
Block |
Purchase
|
15 Dec 2023 |
800.05 |
140,882 |
No |
BSE |
SVF PYTHON II CAYMAN LIMITED
|
Bulk |
Sell
|
15 Dec 2023 |
800.05 |
11,421,212 |
No |
BSE |
SVF PYTHON II CAYMAN LIMITED
|
Block |
Sell
|
15 Dec 2023 |
800.05 |
175,000 |
No |
BSE |
SVF PYTHON II CAYMAN LIMITED
|
Block |
Sell
|
15 Dec 2023 |
800.05 |
370,000 |
No |
BSE |
SVF PYTHON II CAYMAN LIMITED
|
Block |
Sell
|
15 Dec 2023 |
800.05 |
500,000 |
No |
BSE |
SVF PYTHON II CAYMAN LIMITED
|
Block |
Sell
|
15 Dec 2023 |
800.05 |
800,000 |
No |
BSE |
SVF PYTHON II CAYMAN LIMITED
|
Block |
Sell
|
15 Dec 2023 |
800.05 |
940,000 |
No |
BSE |
SVF PYTHON II CAYMAN LIMITED
|
Block |
Sell
|
15 Dec 2023 |
800.05 |
1,150,000 |
No |
BSE |
SVF PYTHON II CAYMAN LIMITED
|
Block |
Sell
|
15 Dec 2023 |
800.05 |
1,550,000 |
No |
BSE |
SVF PYTHON II CAYMAN LIMITED
|
Block |
Sell
|
15 Dec 2023 |
800.05 |
1,650,000 |
No |
BSE |
SVF PYTHON II CAYMAN LIMITED
|
Block |
Sell
|
15 Dec 2023 |
800.05 |
2,030,000 |
No |
BSE |
SVF PYTHON II CAYMAN LIMITED
|
Block |
Sell
|
15 Dec 2023 |
800.05 |
2,256,212 |
No |
BSE |
SOCIETE GENERALE
|
Bulk |
Purchase
|
06 Oct 2023 |
762.80 |
2,626,491 |
No |
NSE |
ADVISORS'' INNER CIRCLE FUND III-NINETY ONE EMERGING MARKETS EQUITY FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
53,313 |
No |
NSE |
THE HPE EMERGING MARKETS EQUITY SUB-FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
24,125 |
No |
NSE |
ASSOCIATION DE BIENFAISANCE RETRAITE DES POLICIERS ERES VILLE DE MONTREAL
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
15,973 |
No |
NSE |
BNP PARIBAS ARBITRAGE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
163,860 |
No |
NSE |
BOMBARDIER TRUST (CANADA) GLOBAL EQUITIES FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
10,602 |
No |
NSE |
CANADIAN PACIFIC RAILWAY COMPANY PENSION PLAN
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
43,778 |
No |
NSE |
CITIGROUP GLOBAL MARKETS MAURITIUS PVT LTD
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
436,962 |
No |
NSE |
COPTHALL MAURITIUS INVESTMENT LIMITED
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
163,860 |
No |
NSE |
ENTSORGUNGSFONDS
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
329,629 |
No |
NSE |
FLORIDA RETIREMENT SYSTEM
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
154,810 |
No |
NSE |
FP BRUNEL EMERGING MARKETS EQUITY FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
77,360 |
No |
NSE |
GOLDMAN SACHS (SINGAPORE) PTE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
327,721 |
No |
NSE |
GOVERNMENT EMPLOYEES SUPERANNUATION BOARD
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
136,012 |
No |
NSE |
HOSTPLUS POOLED SUPERANNUATION TRUST
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
175,374 |
No |
NSE |
IBM DIVERSIFIED GLOBAL EQUITY FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
11,684 |
No |
NSE |
INVESTEC GLOBAL STRATEGY FUND EMERGING MARKETS EQUITY FUND ( GME)
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
272,790 |
No |
NSE |
KOTAK FUNDS-INDIA MIDCAP FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
1,620,795 |
No |
NSE |
KOTAK INFINITY FUND CLASS AC
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
14,904 |
No |
NSE |
MERCER GE INTERNATIONAL EQUITY FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
16,538 |
No |
NSE |
MERCER UCITS CCF - NFU MUTUAL GLOBAL ALPHA FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
52,964 |
No |
NSE |
MORGAN STANLEY ASIA SINGAPORE PTE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
546,202 |
No |
NSE |
MORGAN STANLEY ASIA SINGAPORE PTE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
1,037,784 |
No |
NSE |
NINETY ONE AUSTRALIA FUNDS - EMERGING MARKETS EQUITY FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
64,409 |
No |
NSE |
NINETY ONE FUNDS SERIES IV - EMERGING MARKETS EQUITY FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
6,935 |
No |
NSE |
NINETY ONE GLOBAL SELECT LLC - NINETY ONE EMERGING MARKETS EQUITY FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
239,926 |
No |
NSE |
NINETY ONE GLOBAL STRATEGY FUND - ASIA PACIFIC EQUITY OPPORTUNITIES FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
27,806 |
No |
NSE |
NINETY ONE GLOBAL STRATEGY FUND - ASIAN EQUITY FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
102,180 |
No |
NSE |
NINETY ONE GLOBAL STRATEGY FUND - EMERGING MARKETS MULTI-ASSET FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
35,287 |
No |
NSE |
NOMURA SINGAPORE LIMITED
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
163,860 |
No |
NSE |
PIONEER INVESTMENT FUND SCHEME II
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
655,443 |
No |
NSE |
SAS TRUSTEE CORPORATION POOLED FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
18,368 |
No |
NSE |
SAUDI CENTRAL BANK
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
500,353 |
No |
NSE |
SIEFORE XXI BANORTE BASICA 60-64 SOCIEDAD ANONIMA DE CAPITAL VARIABLE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
2,348 |
No |
NSE |
SIEFORE XXI BANORTE BASICA 65-69 SOCIEDAD ANONIMA DE CAPITAL VARIABLE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
6,391 |
No |
NSE |
SIEFORE XXI BANORTE BASICA 70-74 SOCIEDAD ANONIMA DE CAPITAL VARIABLE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
8,666 |
No |
NSE |
SIEFORE XXI BANORTE BASICA 75-79 SOCIEDAD ANONIMA DE CAPITAL VARIABLE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
7,743 |
No |
NSE |
SIEFORE XXI BANORTE BASICA 80-84 SOCIEDAD ANONIMA DE CAPITAL VARIABLE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
8,199 |
No |
NSE |
SIEFORE XXI BANORTE BASICA 85-89 SOCIEDAD ANONIMA DE CAPITAL VARIABLE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
5,219 |
No |
NSE |
SIEFORE XXI BANORTE BASICA 90-94 SOCIEDAD ANONIMA DE CAPITAL VARIABLE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
1,544 |
No |
NSE |
SOCIETE GENERALE
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
2,626,491 |
No |
NSE |
SPIRIT SUPER
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
21,460 |
No |
NSE |
AMP CAP FD MGMT LIMITED AS RES ENT FOR THE FUTURE DIRE EMRG MKTS SHARE FUND (AMP)
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
51,391 |
No |
NSE |
TCORPIM EMERGING MARKET SHARE FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
40,823 |
No |
NSE |
TATA MUTUAL FUND
|
Block |
Purchase
|
06 Oct 2023 |
762.80 |
1,139,329 |
No |
NSE |
SVF PYTHON II (CAYMAN) LIMITED
|
Bulk |
Sell
|
06 Oct 2023 |
762.80 |
8,323,635 |
No |
NSE |
SVF INDIA HOLDINGS (CAYMAN) LIMITED
|
Bulk |
Sell
|
06 Oct 2023 |
762.80 |
3,097,576 |
No |
NSE |
SVF PYTHON II (CAYMAN) LIMITED
|
Block |
Sell
|
06 Oct 2023 |
762.80 |
8,323,635 |
No |
NSE |
SVF INDIA HOLDINGS (CAYMAN) LIMITED
|
Block |
Sell
|
06 Oct 2023 |
762.80 |
3,097,576 |
No |
NSE |
SOCIETE GENERALE
|
Bulk |
Purchase
|
26 May 2023 |
596.30 |
2,264,211 |
No |
BSE |
TENCENT CLOUD EUROPE B.V.
|
Bulk |
Sell
|
26 May 2023 |
596.66 |
9,416,250 |
No |
BSE |
SOCIETE GENERALE
|
Bulk |
Purchase
|
02 Dec 2022 |
456.40 |
2,600,000 |
No |
NSE |
MORGAN STANLEY MAURITIUS COMPANY LTD
|
Bulk |
Purchase
|
02 Dec 2022 |
456.40 |
2,730,000 |
No |
NSE |
ALPS KOTAK INDIA GROWTH FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
133,176 |
No |
NSE |
THE ROYAL BANK OF SCOTLAND PLC AS TRUSTEE OF JUPITER INDIA FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
281,410 |
No |
NSE |
AVENDUS ABSOLUTE RETURN FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
992,453 |
No |
NSE |
AVENDUS CAPITAL PUBLIC MARKETS ALTERNATE STRATEGIES LLP
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
407,547 |
No |
NSE |
BAY POND INVESTORS (BERMUDA) L.P.
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
91,252 |
No |
NSE |
BAY POND PARTNERS L.P.
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
548,748 |
No |
NSE |
BNP PARIBAS ARBITRAGE
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
1,780,000 |
No |
NSE |
CITIGROUP GLOBAL MARKETS MAURITIUS PRIVATE LIMITED
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
178,000 |
No |
NSE |
CITIGROUP GLOBAL MARKETS MAURITIUS PRIVATE LIMITED
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
322,000 |
No |
NSE |
CMAP GRATICULE FUND LIMITED
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
138,678 |
No |
NSE |
COHESION MK BEST IDEAS SUB-TRUST
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
250,000 |
No |
NSE |
FRANKLIN TEMPLETON MUTUAL FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
850,000 |
No |
NSE |
FTIF TEMPLETON EMERGING MARKETS SMALLER COMPANIES FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
306,589 |
No |
NSE |
FTIF - TEMPLETON ASIAN SMALLER COMPANIES FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
795,674 |
No |
NSE |
FUNDPARTNER SOLUTIONS (SUISSE) SA-MIGROS-PENSIONSKASSE FONDS-AKTIEN WELT
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
85,419 |
No |
NSE |
GHISALLO MASTER FUND LP
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
1,740,000 |
No |
NSE |
GOLDMAN SACHS (SINGAPORE) PTE
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
1,050,000 |
No |
NSE |
GRATICULE ASIA MACRO SINGAPORE PTE LTD
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
111,322 |
No |
NSE |
JUPITER SOUTH ASIA INVESTMENT COMPANY LIMITED
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
68,590 |
No |
NSE |
KOTAK FUNDS INDIA GROWTH FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
10,638 |
No |
NSE |
KOTAK FUNDS INDIA MIDCAP FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
1,496,307 |
No |
NSE |
KOTAK INFINITY FUND CLASS AC
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
21,770 |
No |
NSE |
MAX LIFE INSURANCE COMPANY LTD
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
1,400,000 |
No |
NSE |
MIRAE ASSET MUTUAL FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
410,000 |
No |
NSE |
MORGAN STANLEY MAURITIUS COMPANY LTD
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
2,730,000 |
No |
NSE |
NIPPON INDIA MUTUAL FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
2,710,000 |
No |
NSE |
NORGES BANK ON ACCOUNT OF THE GOVERNMENT PENSION FUND GLOBAL
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
500,000 |
No |
NSE |
PUBLIC SECTOR PENSION INVESTMENT BOARD
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
50,533 |
No |
NSE |
REGAL INVESTMENT FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
133,116 |
No |
NSE |
REGAL TACTICAL OPPORTUNITIES FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
198,412 |
No |
NSE |
SOCIETE GENERALE
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
2,600,000 |
No |
NSE |
AMAZON MARKET NEUTRAL FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
83,269 |
No |
NSE |
TASMAN MARKET NEUTRAL FUND
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
85,203 |
No |
NSE |
TEMPLETON GLOBAL INVESTMENT TRUST
|
Block |
Purchase
|
02 Dec 2022 |
456.40 |
282,318 |
No |
NSE |
SVF INDIA HOLDINGS (CAYMAN) LIMITED
|
Bulk |
Sell
|
02 Dec 2022 |
456.40 |
22,842,424 |
No |
NSE |
SVF INDIA HOLDINGS (CAYMAN) LIMITED
|
Block |
Sell
|
02 Dec 2022 |
456.40 |
22,842,424 |
No |
NSE |
WF ASIAN SMALLER COMPANIES FUND LIMITED
|
Bulk |
Purchase
|
24 Nov 2022 |
400 |
3,353,228 |
No |
BSE |
WF ASIAN SMALLER COMPANIES FUND LIMITED
|
Bulk |
Purchase
|
24 Nov 2022 |
400 |
3,421,845 |
No |
NSE |
WF ASIAN RECONNAISSANCE FUND LIMITED
|
Bulk |
Purchase
|
14 Nov 2022 |
388 |
5,000,000 |
No |
NSE |
TIGER GLOBAL EIGHT HOLDINGS
|
Bulk |
Sell
|
14 Nov 2022 |
389.44 |
7,998,238 |
No |
NSE |
INTERNET FUND III PTE. LTD.
|
Bulk |
Sell
|
14 Nov 2022 |
389.38 |
5,419,369 |
No |
NSE |
PRIYASHA MEVEN FINANCE LTD
|
Bulk |
Purchase
|
11 Nov 2022 |
383.78 |
2,420,500 |
Yes |
NSE |
INTERNET FUND III PTE LTD
|
Bulk |
Sell
|
11 Nov 2022 |
375.11 |
5,159,000 |
No |
BSE |
TIGER GLOBAL EIGHT HOLDINGS
|
Bulk |
Sell
|
11 Nov 2022 |
374.09 |
7,613,000 |
No |
BSE |
PRIYASHA MEVEN FINANCE LTD
|
Bulk |
Sell
|
11 Nov 2022 |
383.51 |
2,420,500 |
Yes |
NSE |
TIGER GLOBAL EIGHT HOLDINGS
|
Bulk |
Sell
|
11 Nov 2022 |
388.34 |
3,284,422 |
No |
NSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
17 Oct 2022 |
442.40 |
74,515 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
17 Oct 2022 |
442.40 |
467,305 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
17 Oct 2022 |
442.40 |
467,305 |
No |
BSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
17 Oct 2022 |
442.40 |
74,515 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
11 Oct 2022 |
479.10 |
227,339 |
No |
BSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
11 Oct 2022 |
479.10 |
36,249 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
11 Oct 2022 |
479.10 |
227,339 |
No |
BSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
11 Oct 2022 |
479.10 |
36,249 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
03 Oct 2022 |
472.55 |
227,029 |
No |
NSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
03 Oct 2022 |
472.55 |
36,199 |
No |
NSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
03 Oct 2022 |
472.55 |
227,029 |
No |
NSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
03 Oct 2022 |
472.55 |
36,199 |
No |
NSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
19 Sep 2022 |
518.65 |
31,061 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
19 Sep 2022 |
518.65 |
196,504 |
No |
BSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
19 Sep 2022 |
518.65 |
31,061 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
19 Sep 2022 |
518.65 |
196,504 |
No |
BSE |
YASHISH DAHIYA
|
Bulk |
Sell
|
07 Jun 2022 |
610.24 |
3,769,471 |
No |
NSE |
ALOK BANSAL
|
Bulk |
Sell
|
11 Feb 2022 |
825 |
2,857,820 |
No |
NSE |
CAPITAL RESEARCH AND MANAGEMENT CO A/C NEW WORLD FUND INC
|
Bulk |
Purchase
|
15 Nov 2021 |
1192.96 |
3,418,354 |
No |
NSE |