GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
19 Nov 2024 |
123.79 |
5,002,338 |
Yes |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
19 Nov 2024 |
123.82 |
5,002,338 |
Yes |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
25 Sep 2024 |
133.36 |
4,862,539 |
Yes |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
25 Sep 2024 |
133.45 |
4,862,539 |
Yes |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
27 Aug 2024 |
148.39 |
6,422,382 |
Yes |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
27 Aug 2024 |
148.36 |
6,422,382 |
Yes |
NSE |
KOTAK MAHINDRA MUTUAL FUND A/C. KOTAK BALANCED ADVANTAGE FUND
|
Bulk |
Sell
|
27 Jun 2024 |
154.20 |
5,130,000 |
No |
NSE |
PPFAS MUTUAL FUND - PARAG PARIKH LONG TERM VALUE FUND
|
Bulk |
Purchase
|
27 Mar 2024 |
141.44 |
6,222,000 |
No |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Purchase
|
21 Feb 2024 |
170.79 |
4,030,793 |
No |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Sell
|
21 Feb 2024 |
171.46 |
5,201,212 |
No |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Purchase
|
20 Feb 2024 |
191.31 |
5,348,563 |
No |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Sell
|
20 Feb 2024 |
191.48 |
5,244,638 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
09 Feb 2024 |
194.48 |
5,522,935 |
Yes |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Purchase
|
09 Feb 2024 |
194.97 |
4,716,881 |
No |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Sell
|
09 Feb 2024 |
195.39 |
5,102,247 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
09 Feb 2024 |
194.64 |
5,522,935 |
Yes |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
30 Jan 2024 |
170.46 |
6,290,241 |
Yes |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
30 Jan 2024 |
170.74 |
6,290,241 |
Yes |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Purchase
|
24 Jan 2024 |
164.22 |
7,089,713 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
24 Jan 2024 |
164.48 |
14,980,069 |
No |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Sell
|
24 Jan 2024 |
164.52 |
6,938,631 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
24 Jan 2024 |
164.49 |
14,820,983 |
No |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Purchase
|
23 Jan 2024 |
164.73 |
13,486,480 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
23 Jan 2024 |
164.66 |
6,610,795 |
Yes |
NSE |
MANSI SHARE AND STOCK ADVISORS PVT LTD
|
Bulk |
Purchase
|
23 Jan 2024 |
162.58 |
7,157,364 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
23 Jan 2024 |
164.74 |
6,610,795 |
Yes |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Sell
|
23 Jan 2024 |
165.26 |
12,611,497 |
No |
NSE |
MANSI SHARE AND STOCK ADVISORS PVT LTD
|
Bulk |
Sell
|
23 Jan 2024 |
174.32 |
8,562,889 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
10 Jan 2024 |
262.35 |
6,504,650 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
10 Jan 2024 |
262.32 |
6,510,650 |
No |
NSE |
SOCIETE GENERALE
|
Bulk |
Purchase
|
09 Jan 2024 |
256.64 |
508,435 |
No |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Purchase
|
09 Jan 2024 |
254.60 |
5,771,248 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
09 Jan 2024 |
256.18 |
6,938,879 |
Yes |
NSE |
SOCIETE GENERALE
|
Bulk |
Sell
|
09 Jan 2024 |
259.10 |
8,345,179 |
No |
NSE |
HRTI PRIVATE LIMITED
|
Bulk |
Sell
|
09 Jan 2024 |
255.55 |
6,770,691 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
09 Jan 2024 |
256.23 |
6,938,879 |
Yes |
NSE |
PLUTUS WEALTH MANAGEMENT LLP
|
Bulk |
Purchase
|
28 Dec 2023 |
270.07 |
6,110,797 |
No |
NSE |
PLUTUS WEALTH MANAGEMENT LLP
|
Bulk |
Purchase
|
12 Dec 2023 |
292.34 |
9,000,000 |
No |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
12 Dec 2023 |
292.38 |
6,302,853 |
Yes |
NSE |
GRAVITON RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
12 Dec 2023 |
292.60 |
6,302,853 |
Yes |
NSE |
QUANT MUTUAL FUND
|
Bulk |
Sell
|
30 Aug 2023 |
266.61 |
4,815,551 |
No |
NSE |
PLUTUS WEALTH MANAGEMENT LLP
|
Bulk |
Purchase
|
13 Jun 2023 |
191.44 |
7,500,000 |
No |
NSE |
PLUTUS WEALTH MANAGEMENT LLP
|
Bulk |
Purchase
|
12 May 2023 |
184.63 |
6,500,000 |
No |
NSE |
SEGANTII INDIA MAURITIUS
|
Bulk |
Purchase
|
17 Apr 2023 |
204.50 |
9,019,998 |
No |
BSE |
MORGAN STANLEY ASIA SINGAPORE PTE
|
Bulk |
Purchase
|
17 Apr 2023 |
204.50 |
11,019,999 |
No |
BSE |
MORGAN STANLEY ASIA SINGAPORE PTE
|
Bulk |
Purchase
|
17 Apr 2023 |
204.50 |
4,815,000 |
No |
BSE |
GOLDMAN SACHS SINGAPORE PTE ODI
|
Bulk |
Purchase
|
17 Apr 2023 |
204.50 |
6,420,000 |
No |
BSE |
OFI GLOBAL CHINA FUND LLC
|
Bulk |
Sell
|
17 Apr 2023 |
204.50 |
49,112,015 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
14 Nov 2022 |
265.85 |
1,364,308 |
No |
NSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
14 Nov 2022 |
265.85 |
1,364,308 |
No |
NSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
03 Nov 2022 |
265 |
1,364,308 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
03 Nov 2022 |
265 |
1,364,308 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
25 Oct 2022 |
267.50 |
733,999 |
No |
BSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
25 Oct 2022 |
267.50 |
519,774 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
25 Oct 2022 |
267.50 |
733,999 |
No |
BSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
25 Oct 2022 |
267.50 |
519,774 |
No |
BSE |
NOMURA INDIA INVESTMENT FUND MOTHER FUND
|
Bulk |
Purchase
|
18 Oct 2022 |
263.70 |
6,246,113 |
No |
NSE |
ADITYA BIRLA SUN LIFE MUTUAL FUND A/C ADITYA BIRLA SUN LIFE FLEXI CAP FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
1,703,485 |
No |
NSE |
TATA MUTUAL FUND A/C TATA RETIRMT SAV FD PROGRESSIVE PL
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
210,000 |
No |
NSE |
ADITYA BIRLA SUN LIFE MUTUAL FUND A/C ADITYA BIRLA SUN LIFE INDIA GENNEXT FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
425,871 |
No |
NSE |
AVENDUS ABSOLUTE RETURN FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
713,750 |
No |
NSE |
AVENDUS CAPITAL PUBLIC MARKETS ALTERNATE STRATEGIES LLP
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
379,318 |
No |
NSE |
BARODA BNP PARIBAS MUTUAL FUND A/C BARODA BNP PARIBAS AGGRESSIVE HYBRID FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
115,999 |
No |
NSE |
BARODA BNP PARIBAS MUTUAL FUND A/C BARODA BNP PARIBAS ELSS FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
51,555 |
No |
NSE |
BARODA BNP PARIBAS MUTUAL FUND A/C BARODA BNP PARIBAS INDIA CONSUMPTION FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
122,444 |
No |
NSE |
BARODA BNP PARIBAS MUTUAL FUND A/C BARODA BNP PARIBAS LARGE CAP FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
115,999 |
No |
NSE |
BNP PARIBAS ARBITRAGE
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
405,997 |
No |
NSE |
BOFA SECURITIES EUROPE SA
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
390,382 |
No |
NSE |
BOFA SECURITIES EUROPE SA
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
437,226 |
No |
NSE |
BOFA SECURITIES EUROPE SA
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
390,382 |
No |
NSE |
CITIGROUP GLOBAL MARKETS MAURITIUS PVT LTD
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
624,611 |
No |
NSE |
COPTHALL MAURITIUS INVESTMENT LTD
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
405,997 |
No |
NSE |
COPTHALL MAURITIUS INVESTMENT LTD
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
624,611 |
No |
NSE |
EDELWEISS MUTUAL FUND A/C EDELWEISS BALANCE ADVANTAGE FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
758,438 |
No |
NSE |
EDELWEISS MUTUAL FUND A/C EDELWEISS EQUITY SAVINGS FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
113,765 |
No |
NSE |
EDELWEISS MUTUAL FUND A/C EDELWEISS FLEXI CAP FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
107,101 |
No |
NSE |
EDELWEISS MUTUAL FUND A/C EDELWEISS LARGE CAP FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
113,765 |
No |
NSE |
ADITYA BIRLA SUN LIFE MUTUAL FUND A/C ADITYA BIRLA SUN LIFE FRONTLINE EQUITY FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
2,555,228 |
No |
NSE |
TATA MUTUAL FUND A/C TATA RETIRMT SAV FD MODERATE PLAN
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
250,000 |
No |
NSE |
TATA MUTUAL FUND A/C TATA RETIRMT SAV FD CONSERTVE PL
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
9,279 |
No |
NSE |
TATA MUTUAL FUND A/C TATA MUTUAL FUND - TATA HYBRID EQUITY FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
900,000 |
No |
NSE |
TATA MUTUAL FUND A/C TATA MID CAP GROWTH FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
260,000 |
No |
NSE |
TATA MUTUAL FUND A/C TATA LARGE AND MID CAP FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
750,000 |
No |
NSE |
TATA MUTUAL FUND A/C TATA FLEXI CAP FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
362,000 |
No |
NSE |
TATA MUTUAL FUND A/C TATA BALANCED ADVANTAGE FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
831,000 |
No |
NSE |
TATA MUTUAL FUND A/C TATA ARBITRAGE FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
800,000 |
No |
NSE |
FRANKLIN TEMPLETON MUTUAL FUND A/C FRANKLIN INDIA EQUITY ADVANTAGE FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
260,255 |
No |
NSE |
FRANKLIN TEMPLETON MUTUAL FUND A/C FRANKLIN TEMPLETON INDIA PRIMA FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
364,356 |
No |
NSE |
GOLDMAN SACHS (SINGAPORE) PTE ODI
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
1,249,222 |
No |
NSE |
GOLDMAN SACHS INVESTMENTS (MAURITIUS) I LIMITED- SHORT TERM
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
1,561,528 |
No |
NSE |
ICICI PRUDENTIAL LIFE INSURANCE (IPLCIL-U)
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
936,916 |
No |
NSE |
ICICI PRUDENTIAL MUTUAL FUND A/C ICICI PRUDENTIAL BALANCED ADVANTAGE FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
900,000 |
No |
NSE |
ICICI PRUDENTIAL MUTUAL FUND A/C ICICI PRUDENTIAL BHARAT CONSUMPTION FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
721,718 |
No |
NSE |
ICICI PRUDENTIAL MUTUAL FUND A/C ICICI PRUDENTIAL BLUECHIP FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
1,416,468 |
No |
NSE |
ICICI PRUDENTIAL MUTUAL FUND A/C ICICI PRUDENTIAL BUSINESS CYCLE FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
207,397 |
No |
NSE |
ICICI PRUDENTIAL MUTUAL FUND A/C ICICI PRUDENTIAL INDIA OPPORTUNITIES FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
902,148 |
No |
NSE |
ICICI PRUDENTIAL MUTUAL FUND A/C ICICI PRUDENTIAL MNC FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
360,858 |
No |
NSE |
ICICI PRUDENTIAL MUTUAL FUND A/C ICICI PRUDENTIAL MULTI-ASSET FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
363,006 |
No |
NSE |
ICICI PRUDENTIAL MUTUAL FUND A/C ICICI PRUDENTIAL MULTICAP FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
631,503 |
No |
NSE |
ICICI PRUDENTIAL MUTUAL FUND A/C ICICI PRUDENTIAL VALUE DISCOVERY FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
1,804,295 |
No |
NSE |
INTEGRATED CORE STRATEGIES (ASIA) PTE.LTD.
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
3,903,820 |
No |
NSE |
KEY SQUARE MASTER FUND LP
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
3,123,000 |
No |
NSE |
MORGAN STANLEY ASIA SINGAPORE PTE
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
3,279,153 |
No |
NSE |
MY ASIAN OPPORTUNITIES MASTER FUND L.P.
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
1,632,292 |
No |
NSE |
MY ASIAN STRATEGIC METRIC MASTER FUND L.P.
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
620,000 |
No |
NSE |
MY JAPAN FOCUSED MASTER FUND L.P.
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
90,000 |
No |
NSE |
NOMURA INDIA INVESTMENT FUND MOTHER FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
6,246,113 |
No |
NSE |
NOMURA SINGAPORE LIMITED
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
405,997 |
No |
NSE |
SOCIETE GENERALE
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
3,123,000 |
No |
NSE |
TATA AIA LIFE INSURANCE COMPANY LIMITED A/C LARGE CAP EQUITY FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
1,137,657 |
No |
NSE |
TATA AIA LIFE INSURANCE COMPANY LIMITED A/C NON UNIT LINKED LIFE POLICYHOLDERS FUND PARTICIPATING
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
1,516,875 |
No |
NSE |
TATA AIA LIFE INSURANCE COMPANY LIMITED A/C WHOLE LIFE MID CAP EQUITY FUND
|
Block |
Purchase
|
18 Oct 2022 |
263.70 |
1,249,288 |
No |
NSE |
OFI GLOBAL CHINA FUND LLC
|
Bulk |
Sell
|
18 Oct 2022 |
263.70 |
48,237,985 |
No |
NSE |
INVESCO DEVELOPING MARKETS EQUITY FUND
|
Block |
Sell
|
18 Oct 2022 |
263.70 |
54,277 |
No |
NSE |
OFI GLOBAL CHINA FUND LLC
|
Block |
Sell
|
18 Oct 2022 |
263.70 |
48,237,985 |
No |
NSE |
MML STRATEGIC EMERGING MARKETS FUND
|
Block |
Sell
|
18 Oct 2022 |
263.70 |
68,634 |
No |
NSE |
MASSMUTUAL PREMIER STRATEGIC EMERGING MARKETS FUND
|
Block |
Sell
|
18 Oct 2022 |
263.70 |
132,776 |
No |
NSE |
EMERGING MARKETS PORTFOLIO A SERIES OF THE PACIFIC SELECT FUND
|
Block |
Sell
|
18 Oct 2022 |
263.70 |
382,412 |
No |
NSE |
INVESCO OPPENHEIMER GLOBAL ALLOCATION FUND
|
Block |
Sell
|
18 Oct 2022 |
263.70 |
63,693 |
No |
NSE |
INVESCO EMERGING MARKETS EQUITY TRUST
|
Block |
Sell
|
18 Oct 2022 |
263.70 |
1,881,011 |
No |
NSE |
INVESCO EMERGING MARKETS EQUITY FUND LP
|
Block |
Sell
|
18 Oct 2022 |
263.70 |
2,009,860 |
No |
NSE |
PF EMERGING MARKETS FUND
|
Block |
Sell
|
18 Oct 2022 |
263.70 |
104,420 |
No |
NSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
17 Oct 2022 |
267.40 |
1,153,468 |
No |
NSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
17 Oct 2022 |
267.40 |
173,147 |
No |
NSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
17 Oct 2022 |
267.40 |
1,153,468 |
No |
NSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
17 Oct 2022 |
267.40 |
173,147 |
No |
NSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
11 Oct 2022 |
278.60 |
169,311 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
11 Oct 2022 |
278.60 |
1,127,920 |
No |
BSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
11 Oct 2022 |
278.60 |
169,311 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
11 Oct 2022 |
278.60 |
1,127,920 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
03 Oct 2022 |
258.15 |
1,128,586 |
No |
NSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
03 Oct 2022 |
258.15 |
169,411 |
No |
NSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
03 Oct 2022 |
258.15 |
1,128,586 |
No |
NSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
03 Oct 2022 |
258.15 |
169,411 |
No |
NSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
19 Sep 2022 |
261.20 |
767,200 |
No |
BSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
19 Sep 2022 |
261.20 |
114,244 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
19 Sep 2022 |
261.20 |
767,200 |
No |
BSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
19 Sep 2022 |
261.20 |
114,244 |
No |
BSE |
ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF
|
Block |
Purchase
|
04 May 2022 |
255.40 |
959,114 |
No |
BSE |
ISHARES CORE TOTAL INTERNATIONAL STOCK MAURITIUS CO
|
Block |
Sell
|
04 May 2022 |
255.40 |
959,114 |
No |
BSE |
AAKRAYA TECHNOLOGY AND RESEARCH LLP
|
Bulk |
Purchase
|
23 Sep 2021 |
336.90 |
5,457,249 |
No |
NSE |
XTX MARKETS LLP
|
Bulk |
Purchase
|
23 Sep 2021 |
333.24 |
6,421,701 |
No |
NSE |
AAKRAYA TECHNOLOGY AND RESEARCH LLP
|
Bulk |
Sell
|
23 Sep 2021 |
336.88 |
5,604,350 |
No |
NSE |
XTX MARKETS LLP
|
Bulk |
Sell
|
23 Sep 2021 |
333.99 |
6,319,167 |
No |
NSE |
VAIBHAV STOCK AND DERIVATIVES BROKING PRIVATE LIMITED
|
Bulk |
Purchase
|
22 Sep 2021 |
328.73 |
5,539,839 |
Yes |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
22 Sep 2021 |
324.55 |
7,894,250 |
Yes |
NSE |
AAKRAYA TECHNOLOGY AND RESEARCH LLP
|
Bulk |
Purchase
|
22 Sep 2021 |
323.77 |
7,011,477 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
22 Sep 2021 |
316.43 |
5,771,366 |
No |
NSE |
XTX MARKETS LLP
|
Bulk |
Purchase
|
22 Sep 2021 |
323.95 |
8,924,876 |
No |
NSE |
AAKRAYA TECHNOLOGY AND RESEARCH LLP
|
Bulk |
Sell
|
22 Sep 2021 |
323.71 |
6,806,257 |
No |
NSE |
VAIBHAV STOCK AND DERIVATIVES BROKING PRIVATE LIMITED
|
Bulk |
Sell
|
22 Sep 2021 |
328.85 |
5,539,839 |
Yes |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
22 Sep 2021 |
316.66 |
5,790,894 |
No |
NSE |
XTX MARKETS LLP
|
Bulk |
Sell
|
22 Sep 2021 |
324.13 |
8,972,218 |
No |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
22 Sep 2021 |
324.65 |
7,894,250 |
Yes |
NSE |
JUMP TRADING FINANCIAL INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
17 Sep 2021 |
254.37 |
5,421,613 |
Yes |
NSE |
JUMP TRADING FINANCIAL INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
17 Sep 2021 |
254.40 |
5,421,613 |
Yes |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
15 Sep 2021 |
269.93 |
8,149,807 |
No |
NSE |
XTX MARKETS LLP
|
Bulk |
Purchase
|
15 Sep 2021 |
270.28 |
6,854,621 |
No |
NSE |
AAKRAYA TECHNOLOGY AND RESEARCH LLP
|
Bulk |
Purchase
|
15 Sep 2021 |
272.81 |
5,157,890 |
No |
NSE |
JUMP TRADING FINANCIAL INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
15 Sep 2021 |
272.19 |
16,627,567 |
Yes |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
15 Sep 2021 |
269.44 |
7,337,112 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
15 Sep 2021 |
270.38 |
8,068,324 |
No |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
15 Sep 2021 |
269.54 |
7,341,209 |
No |
NSE |
AAKRAYA TECHNOLOGY AND RESEARCH LLP
|
Bulk |
Sell
|
15 Sep 2021 |
272.46 |
4,953,896 |
No |
NSE |
XTX MARKETS LLP
|
Bulk |
Sell
|
15 Sep 2021 |
270.72 |
6,870,324 |
No |
NSE |
JUMP TRADING FINANCIAL INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
15 Sep 2021 |
272.31 |
16,627,567 |
Yes |
NSE |
JUMP TRADING FINANCIAL INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
14 Sep 2021 |
236.50 |
10,257,251 |
Yes |
NSE |
XTX MARKETS LLP
|
Bulk |
Purchase
|
14 Sep 2021 |
241.37 |
5,580,584 |
No |
NSE |
RARE ENTERPRISES
|
Bulk |
Purchase
|
14 Sep 2021 |
220.44 |
5,000,000 |
No |
NSE |
BOFA SECURITIES EUROPE SA
|
Bulk |
Purchase
|
14 Sep 2021 |
236.20 |
4,865,513 |
No |
NSE |
MANSI SHARES & STOCK ADVISORS PVT LTD
|
Bulk |
Purchase
|
14 Sep 2021 |
233.18 |
6,078,168 |
No |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
14 Sep 2021 |
238.92 |
8,053,447 |
No |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
14 Sep 2021 |
239.04 |
8,058,086 |
No |
NSE |
XTX MARKETS LLP
|
Bulk |
Sell
|
14 Sep 2021 |
242.20 |
5,516,091 |
No |
NSE |
MANSI SHARES & STOCK ADVISORS PVT LTD
|
Bulk |
Sell
|
14 Sep 2021 |
233.69 |
6,078,173 |
No |
NSE |
JUMP TRADING FINANCIAL INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
14 Sep 2021 |
236.66 |
10,257,251 |
Yes |
NSE |
HSBC INDIEN
|
Block |
Purchase
|
23 Jul 2021 |
204.85 |
493,342 |
No |
NSE |
HSBC GLOBAL INVESTMENT FUNDS INDIAN EQUITY
|
Block |
Sell
|
23 Jul 2021 |
204.85 |
493,342 |
No |
NSE |
INTEGRATED CORE STRATEGIES ASIA PTE LTD
|
Bulk |
Sell
|
07 Jun 2021 |
219.20 |
6,587,208 |
No |
NSE |
INTEGRATED CORE STRATEGIES ASIA PTE LTD
|
Bulk |
Sell
|
04 Jun 2021 |
218.38 |
6,111,423 |
No |
NSE |
INTEGRATED CORE STRATEGIES ASIA PTE LTD
|
Bulk |
Sell
|
02 Jun 2021 |
212.63 |
5,662,573 |
No |
NSE |
INTEGRATED CORE STRATEGIES (ASIA) PTE. LTD.
|
Bulk |
Purchase
|
27 May 2021 |
209.88 |
23,153,091 |
No |
NSE |
SOCIETE GENERALE
|
Bulk |
Purchase
|
27 May 2021 |
209.35 |
4,890,725 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
05 Feb 2021 |
224.46 |
6,227,124 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
05 Feb 2021 |
225.31 |
5,962,683 |
No |
NSE |
SPRUCEGROVE INTERNATIONAL POOLED FUND
|
Bulk |
Purchase
|
30 Oct 2020 |
184.73 |
8,201,894 |
No |
NSE |
VANGUARD MODERATE GROWTH FUND
|
Bulk |
Purchase
|
06 Oct 2020 |
211.46 |
5,858,603 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
25 Sep 2020 |
191.01 |
5,041,292 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
25 Sep 2020 |
191.05 |
5,084,924 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
24 Sep 2020 |
190.10 |
5,188,070 |
No |
NSE |
INTEGRATED CORE STRATEGIES (ASIA) PTE. LTD.
|
Bulk |
Purchase
|
24 Sep 2020 |
190.53 |
4,963,315 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
24 Sep 2020 |
190.29 |
5,194,484 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
24 Aug 2020 |
199.38 |
4,256,124 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
24 Aug 2020 |
199.54 |
5,053,950 |
No |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
20 Aug 2020 |
200.57 |
5,448,870 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
20 Aug 2020 |
200.29 |
7,145,168 |
No |
NSE |
XTX MARKETS LLP
|
Bulk |
Purchase
|
20 Aug 2020 |
200.44 |
6,307,290 |
Yes |
NSE |
XTX MARKETS LLP
|
Bulk |
Sell
|
20 Aug 2020 |
200.63 |
6,307,290 |
Yes |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
20 Aug 2020 |
200.66 |
5,451,322 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
20 Aug 2020 |
200.44 |
7,418,161 |
No |
NSE |
XTX MARKETS LLP
|
Bulk |
Purchase
|
19 Aug 2020 |
186.05 |
5,112,639 |
Yes |
NSE |
XTX MARKETS LLP
|
Bulk |
Sell
|
19 Aug 2020 |
186.26 |
5,112,639 |
Yes |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
18 Aug 2020 |
171.99 |
4,975,773 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
18 Aug 2020 |
172.37 |
5,026,555 |
No |
NSE |
FLORIDA RETIREMENT SYSTEM
|
Bulk |
Purchase
|
22 Apr 2020 |
141.29 |
5,109,188 |
No |
NSE |
GOVERNMENT OF SINGAPORE
|
Bulk |
Purchase
|
21 Nov 2019 |
304 |
28,500,000 |
No |
NSE |
JNL INVESCO GLOBAL REAL ESTATE FUND
|
Bulk |
Purchase
|
21 Nov 2019 |
304 |
8,250,000 |
No |
NSE |
KEY SQUARE MASTER FUND II LP
|
Bulk |
Purchase
|
21 Nov 2019 |
304 |
6,000,000 |
No |
NSE |
NORGES BANK ON ACCOUNT OF THE GOVERNMENT PENSION FUND GLOBAL
|
Bulk |
Purchase
|
21 Nov 2019 |
304 |
7,000,000 |
No |
NSE |
SMALLCAP WORLD FUND INC
|
Bulk |
Purchase
|
21 Nov 2019 |
304 |
7,673,492 |
No |
NSE |
SOCIETE GENERALE
|
Bulk |
Purchase
|
21 Nov 2019 |
304 |
16,690,000 |
No |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
21 Nov 2019 |
336.84 |
6,366,303 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Purchase
|
21 Nov 2019 |
335.49 |
5,607,128 |
No |
NSE |
NEW SILK ROAD INVESTMENT
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
AB SICAV I INDIA GROWTH PORTFOLIO
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
AMERICAN FUNDS INSURANCE SERIES GLOBAL SMALL CAPITALIZATION FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,826,508 |
No |
NSE |
ATLAS MASTER FUND LTD
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
AURIGIN MASTER FUND LIMITED
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
AVENDUS ABSOLUTE RETURN FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,200,000 |
No |
NSE |
AXIS MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,200,000 |
No |
NSE |
BHARTI AXA LIFE INSURANCE COMPANY LIMITED
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
BIRLA SUN LIFE INSURANCE CO LTD
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,800,000 |
No |
NSE |
BLACKROCK EMERGING FRONTIERS MASTER FUND LIMITED
|
Block |
Purchase
|
21 Nov 2019 |
304 |
2,354,233 |
No |
NSE |
BLACKROCK EMERGING MARKETSFUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
832,640 |
No |
NSE |
BLACKROCK GLOBAL FUNDS EMERGING MARKETS FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
2,035,736 |
No |
NSE |
BLACKROCK INSTITUTIONAL EQUITY FUNDS-EMERGING MARKETS
|
Block |
Purchase
|
21 Nov 2019 |
304 |
115,346 |
No |
NSE |
BLACKROCK STRATEGIC FD BLACKROCK EMER MKT AB RETURN FD
|
Block |
Purchase
|
21 Nov 2019 |
304 |
103,708 |
No |
NSE |
BLACKROCK STRATEGIC FDS BLACKROCK EM MKT EQ STR FD
|
Block |
Purchase
|
21 Nov 2019 |
304 |
2,654,329 |
No |
NSE |
BLRK GL EMG MKRTS FUND INC
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,404,008 |
No |
NSE |
CANARA HSBC ORIENTAL BANK OF COMMERCE LIFE INSURANCE COMPANY LIMITED
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
CITIGROUP GLOBAL MARKETS MAURITIUS PRIVATE LIMITED
|
Block |
Purchase
|
21 Nov 2019 |
304 |
2,000,000 |
No |
NSE |
COPTHALL MAURITIUS INVESTMENT LIMITED
|
Block |
Purchase
|
21 Nov 2019 |
304 |
500,000 |
No |
NSE |
DEUTSCHE ASSET MANAGEMENT
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
EASTSPRING INVESTMENTS INDIA EQUITY FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
2,300,000 |
No |
NSE |
EDELWEISS ALPHA FUND SCHEME I
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
EMPLOYEES PROVIDENT FUND BOARD
|
Block |
Purchase
|
21 Nov 2019 |
304 |
216,522 |
No |
NSE |
FIDELITY FUNDS INDIA FOCUS FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,510,041 |
No |
NSE |
FIDELITY FUNDS SOUTH EAST ASIA FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
3,727,426 |
No |
NSE |
FIDELITY INDIA FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
124,335 |
No |
NSE |
FIDELITY INVESTMENT FUNDS ICVC FIDELITY EMERGING ASIA FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
192,399 |
No |
NSE |
FIDELITY KOREA-INDIA EQUITY INVESTMENT TRUST-MOTHER
|
Block |
Purchase
|
21 Nov 2019 |
304 |
39,228 |
No |
NSE |
FIDEURAM FD EQUITY GLOBAL EMEG MKTS
|
Block |
Purchase
|
21 Nov 2019 |
304 |
7,333 |
No |
NSE |
FONDITALIA EQUITY GLOBAL EMEG MKTS
|
Block |
Purchase
|
21 Nov 2019 |
304 |
116,111 |
No |
NSE |
FONDITALIA EQUITY INDIA
|
Block |
Purchase
|
21 Nov 2019 |
304 |
23,222 |
No |
NSE |
FONDITALIA EQUITY PACIFIC EX JAPAN
|
Block |
Purchase
|
21 Nov 2019 |
304 |
15,278 |
No |
NSE |
FONDITALIA FLEXIBLE EMEG MKTS
|
Block |
Purchase
|
21 Nov 2019 |
304 |
36,667 |
No |
NSE |
GOVERNMENT OF SINGAPORE
|
Block |
Purchase
|
21 Nov 2019 |
304 |
28,500,000 |
No |
NSE |
HSBC ASIA PACIFIC FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
99,607 |
No |
NSE |
HSBC GLOBAL INVESTMENT FUNDS - ASIA EX JAPAN EQUITY
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,665,589 |
No |
NSE |
HSBC GLOBAL INVESTMENT FUNDS - ASIA EX JAPAN EQUITY SMALLER COMPANIES
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,491,158 |
No |
NSE |
HSBC GLOBAL INVESTMENT FUNDS - MANAGED SOLUTIONS - ASIA FOCUSED GROWTH
|
Block |
Purchase
|
21 Nov 2019 |
304 |
96,210 |
No |
NSE |
HSBC GLOBAL INVESTMENT FUNDS INDIAN EQUITY
|
Block |
Purchase
|
21 Nov 2019 |
304 |
3,431,985 |
No |
NSE |
HSBC INDIAN EQUITY FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
69,945 |
No |
NSE |
ICICI PRUDENTIAL LIFE INSURANCECOMPANY LTD.
|
Block |
Purchase
|
21 Nov 2019 |
304 |
2,300,000 |
No |
NSE |
IDFC MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
IMF IROT IMF RET STF BEN IN AC
|
Block |
Purchase
|
21 Nov 2019 |
304 |
119,222 |
No |
NSE |
IMF IROT INT MON FD STF RET PLAN
|
Block |
Purchase
|
21 Nov 2019 |
304 |
456,403 |
No |
NSE |
INTEGRATED CORE STRATEGIES ASIA PTE LTD
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,000,000 |
No |
NSE |
INTERFUND EQUITY GLOBAL EMERGING MARKETS
|
Block |
Purchase
|
21 Nov 2019 |
304 |
131,389 |
No |
NSE |
INVESTEC EMERGING MARKETS EQ FD
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,500,000 |
No |
NSE |
JNL INVESCO GLOBAL REAL ESTATE FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
8,250,000 |
No |
NSE |
KARST PEAK ASIA MASTER FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
KEY SQUARE MASTER FUND II LP
|
Block |
Purchase
|
21 Nov 2019 |
304 |
6,000,000 |
No |
NSE |
MORGAN STANLEY ASIA SINGAPORE PTE
|
Block |
Purchase
|
21 Nov 2019 |
304 |
990,000 |
No |
NSE |
NOMURA FUNDS IRELAND PLC NOMURA FUNDS IRELAND INDIA EQUITY FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
360,869 |
No |
NSE |
NOMURA INDIA INVESTMENT FUND MOTHER FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,082,609 |
No |
NSE |
NORGES BANK ON ACCOUNT OF THE GOVERNMENT PENSION FUND GLOBAL
|
Block |
Purchase
|
21 Nov 2019 |
304 |
7,000,000 |
No |
NSE |
OP-EMERGING MIDDLE CLASS FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
269,451 |
No |
NSE |
PINEBRIDGE INV ASIA LIMITED A/C PB GLOBAL FUNDS - PINEBRIDGE INDIA EQ FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
RELIANCE MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
2,300,000 |
No |
NSE |
RELIANCE NIPPON LIFE INSURANCE COMPANY LIMITED
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
SAMSUNG ASIA LEADERS SECURITIES MASTER INVESTMENT TRUST EQUITY
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
33,800 |
No |
NSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
227,914 |
No |
NSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
240,000 |
No |
NSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
626,600 |
No |
NSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
723,684 |
No |
NSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
850,000 |
No |
NSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
2,171,052 |
No |
NSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
3,871,843 |
No |
NSE |
SCHRODER INDIA EQUITY FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,000,000 |
No |
NSE |
SMALLCAP WORLD FUND INC
|
Block |
Purchase
|
21 Nov 2019 |
304 |
7,673,492 |
No |
NSE |
SOCIETE GENERALE
|
Block |
Purchase
|
21 Nov 2019 |
304 |
16,690,000 |
No |
NSE |
SUNDARAM INDIA MIDCAP FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
SUNDARAM MUTUAL FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
THE MASTER TR BK OF JPN LIMITED AS TRSTEE OF FIDELITY ASIA E
|
Block |
Purchase
|
21 Nov 2019 |
304 |
137,120 |
No |
NSE |
THE MASTER TRUST BANK OF JAPAN LIMITED A/C HSBC INDIAN EQUITY MOTHER FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,592,987 |
No |
NSE |
THORNBURG GLOBAL INVT PLC THORNBURG DEVLPNG WORLD FD
|
Block |
Purchase
|
21 Nov 2019 |
304 |
6,766 |
No |
NSE |
THORNBURG INVESTMENT TRUST A/C THORNBURG DEVELOPING WORLD FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
473,066 |
No |
NSE |
THORNBURG SUMMIT FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
20,168 |
No |
NSE |
TOSCAFUND MS A/C 7
|
Block |
Purchase
|
21 Nov 2019 |
304 |
330,000 |
No |
NSE |
TRAFALGAR TRADING FUND INC
|
Block |
Purchase
|
21 Nov 2019 |
304 |
750,000 |
No |
NSE |
VANGUARD TOTAL WORLD STOCK INDEX FUND
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,000,000 |
No |
NSE |
WARD FERRY MANAGEMENT LTD
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,800,000 |
No |
NSE |
WELLINGTON MANAGEMENT COMPANY LLP
|
Block |
Purchase
|
21 Nov 2019 |
304 |
2,000,000 |
No |
NSE |
WELLS CAPITAL MANAGEMENT INCORPORATED
|
Block |
Purchase
|
21 Nov 2019 |
304 |
750,000 |
No |
NSE |
YORK ASIAN OPPORTUNITIES INVESTMENTS MASTER FUND LP
|
Block |
Purchase
|
21 Nov 2019 |
304 |
1,500,000 |
No |
NSE |
CYQUATOR MEDIA SERVICES PRIVATE LIMITED
|
Bulk |
Sell
|
21 Nov 2019 |
304 |
61,626,543 |
No |
NSE |
ESSEL CORPORATE LLP
|
Bulk |
Sell
|
21 Nov 2019 |
304 |
11,838,350 |
No |
NSE |
ESSEL MEDIA VENTURES LIMITED
|
Bulk |
Sell
|
21 Nov 2019 |
304 |
69,403,106 |
No |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
21 Nov 2019 |
336.84 |
6,231,163 |
No |
NSE |
TOWER RESEARCH CAPITAL MARKETS INDIA PRIVATE LIMITED
|
Bulk |
Sell
|
21 Nov 2019 |
335.48 |
5,209,105 |
No |
NSE |
CYQUATOR MEDIA SERVICES PRIVATE LIMITED
|
Block |
Sell
|
21 Nov 2019 |
304 |
61,626,543 |
No |
NSE |
ESSEL CORPORATE LLP
|
Block |
Sell
|
21 Nov 2019 |
304 |
11,838,350 |
No |
NSE |
ESSEL MEDIA VENTURES LIMITED
|
Block |
Sell
|
21 Nov 2019 |
304 |
69,403,106 |
No |
NSE |
LLOYDS BANK PENSION SCHEME NO 1
|
Block |
Purchase
|
25 Sep 2019 |
279 |
783,672 |
No |
NSE |
HBOS FINAL SALARY PENSION SCHEME
|
Block |
Sell
|
25 Sep 2019 |
279 |
783,672 |
No |
NSE |
CATALYST TRUSTEESHIP LIMITED
|
Bulk |
Sell
|
23 Sep 2019 |
281.75 |
7,250,000 |
No |
NSE |
INVESCO DEVELOPING MARKETS SRI EQUITY FUND
|
Block |
Purchase
|
27 Aug 2019 |
364.90 |
432,596 |
No |
BSE |
INVESCO DEVELOPING MARKETS EQUITY FUND
|
Block |
Purchase
|
27 Aug 2019 |
364.90 |
233,001 |
No |
BSE |
OPPENHEIMER DEVELOPING MARKETS EQUITY SRI UCITS FUND
|
Block |
Sell
|
27 Aug 2019 |
364.90 |
432,596 |
No |
BSE |
OPPENHEIMER DEVELOPING MARKETS EQUITY UCITS FUND
|
Block |
Sell
|
27 Aug 2019 |
364.90 |
233,001 |
No |
BSE |
CATALYST TRUSTEESHIP LIMITED
|
Bulk |
Sell
|
08 May 2019 |
342.33 |
8,600,000 |
No |
NSE |
CATALYST TRUSTEESHIP LIMITED
|
Bulk |
Sell
|
01 Feb 2019 |
361.42 |
7,400,000 |
No |
NSE |
DVI FUND MAURITIUS LTD
|
Bulk |
Purchase
|
28 Jan 2019 |
343.05 |
8,969,248 |
No |
NSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
19 Sep 2018 |
456.25 |
1,000,000 |
No |
NSE |
ESSEL HOLDINGS LIMITED
|
Block |
Sell
|
19 Sep 2018 |
456.25 |
1,000,000 |
No |
NSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
03 Sep 2018 |
508.10 |
1,475,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Block |
Sell
|
03 Sep 2018 |
508.10 |
1,475,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
23 Aug 2018 |
512.45 |
1,904,000 |
No |
BSE |
ESSEL INTERNATIONAL LIMITED
|
Block |
Sell
|
23 Aug 2018 |
512.45 |
1,904,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
16 Aug 2018 |
504.70 |
500,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Block |
Sell
|
16 Aug 2018 |
504.70 |
500,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
13 Aug 2018 |
518.50 |
1,000,000 |
No |
BSE |
ESSEL INTERNATIONAL LIMITED
|
Block |
Sell
|
13 Aug 2018 |
518.50 |
1,000,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
03 Aug 2018 |
525.45 |
1,000,000 |
No |
BSE |
ESSEL INTERNATIONAL LIMITED
|
Block |
Sell
|
03 Aug 2018 |
525.45 |
1,000,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Bulk |
Purchase
|
31 Jul 2018 |
527.90 |
5,000,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
31 Jul 2018 |
527.90 |
5,000,000 |
No |
BSE |
ESSEL INTERNATIONAL LIMITED
|
Bulk |
Sell
|
31 Jul 2018 |
527.90 |
5,000,000 |
No |
BSE |
ESSEL INTERNATIONAL LIMITED
|
Block |
Sell
|
31 Jul 2018 |
527.90 |
5,000,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
25 Jul 2018 |
520.75 |
12,500,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Bulk |
Purchase
|
25 Jul 2018 |
520.75 |
12,500,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Block |
Sell
|
25 Jul 2018 |
520.75 |
12,500,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Bulk |
Sell
|
25 Jul 2018 |
520.75 |
12,500,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
22 Jun 2018 |
563.75 |
765,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Block |
Sell
|
22 Jun 2018 |
563.75 |
765,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
21 Jun 2018 |
567.95 |
2,200,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Block |
Sell
|
21 Jun 2018 |
567.95 |
2,200,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
14 Jun 2018 |
560 |
1,700,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Block |
Sell
|
14 Jun 2018 |
560 |
1,700,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
08 Jun 2018 |
555 |
800,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Block |
Sell
|
08 Jun 2018 |
555 |
800,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
06 Jun 2018 |
555 |
200,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Block |
Sell
|
06 Jun 2018 |
555 |
200,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
05 Jun 2018 |
551 |
875,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Block |
Sell
|
05 Jun 2018 |
551 |
875,000 |
No |
BSE |
ESSEL CORPORATE LLP
|
Block |
Purchase
|
23 May 2018 |
565 |
2,000,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Block |
Sell
|
23 May 2018 |
565 |
2,000,000 |
No |
BSE |
ESSEL HOLDINGS LIMITED
|
Bulk |
Sell
|
23 Jan 2018 |
595.13 |
13,865,000 |
No |
BSE |
EUROPACIFIC GROWTH FUND
|
Bulk |
Sell
|
18 May 2015 |
300.44 |
11,332,939 |
No |
NSE |
EUROPACIFIC GROWTH FUND
|
Bulk |
Sell
|
18 May 2015 |
300.60 |
5,991,000 |
No |
BSE |
ABU DHABI INVESTMENT AUTHORITY GULAB
|
Bulk |
Purchase
|
25 Nov 2014 |
394.33 |
6,570,966 |
No |
NSE |
GOLDMAN SACHS SINGAPORE PTE
|
Bulk |
Sell
|
18 Jun 2014 |
273.70 |
6,950,000 |
No |
NSE |
GOLDMAN SACHS SINGAPORE PTE
|
Bulk |
Sell
|
18 Jun 2014 |
273.91 |
4,810,367 |
No |
BSE |