Summary
|
Mar 2025
|
Dec 2024
|
Sep 2024
|
Jun 2024
|
May 28, 2024
|
Mar 2024
|
Dec 2023
|
Sep 2023
|
Jun 2023
|
Mar 2023
|
Dec 2022
|
Sep 2022
|
Promoter
|
0% |
0% |
0% |
0% |
0% |
0% |
0% |
0% |
26.6% |
30.2% |
40.0% |
40.1% |
Holding |
0% |
0% |
0% |
0% |
0% |
0% |
0% |
0% |
26.6% |
30.2% |
40.0% |
40.1% |
Pledged |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
Locked |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
0.0% |
FII
|
40.2% |
42.6% |
42.1% |
41.4% |
40.4% |
35% |
34.0% |
34.4% |
24.8% |
25.4% |
21.3% |
21.0% |
DII
|
49.9% |
47.9% |
48.2% |
47.3% |
48.1% |
54.3% |
55.0% |
54.3% |
37.2% |
32.2% |
26.7% |
26.5% |
Mutual Funds |
36.92% |
35.80% |
35.52% |
34.96% |
35.69% |
41.68% |
42.77% |
42.29% |
27.73% |
23.44% |
19.90% |
20.07% |
Banks |
0.0% |
0.0% |
0.0% |
0.01% |
0.01% |
0.01% |
0.01% |
0.12% |
0.09% |
0.01% |
0.0% |
0.0% |
Insurance |
12.25% |
11.45% |
12.06% |
11.49% |
11.66% |
11.81% |
11.28% |
10.88% |
8.90% |
8.26% |
6.50% |
5.94% |
Others |
0.76% |
0.61% |
0.57% |
0.83% |
0.76% |
0.79% |
0.96% |
0.99% |
0.48% |
0.49% |
0.33% |
0.44% |
Public
|
9.9% |
9.6% |
9.8% |
11.3% |
11.5% |
10.7% |
11.0% |
11.4% |
11.4% |
12.2% |
12.0% |
12.5% |
Others
|
0% |
0.0% |
0.0% |
0% |
0% |
0.0% |
0% |
0% |
0% |
0.0% |
0.0% |
0% |
No Holding for this category
Holding Mar 2025 |
Holding Dec 2024 |
Holding May 2024 |
History |
% |
shares |
% |
shares |
% |
shares |
90.14 |
60,289,520 |
90.41 |
60,445,597 |
88.50 |
59,021,485 |
|
Name |
Holding Mar 2025 |
No of holders |
History |
% |
shares |
Mutual Funds
|
36.92
|
24,689,867 |
44 |
|
Motilal oswal midcap fund
|
9.16
|
6,127,660 |
- |
|
Hdfc mutual fund - hdfc mid-cap opportunities fund
|
5.43
|
3,630,140 |
- |
|
Dsp midcap fund
|
3.67
|
2,454,423 |
- |
|
Uti-flexi cap fund
|
2.95
|
1,971,817 |
- |
|
Sbi large & midcap fund
|
2.05
|
1,372,973 |
- |
|
Aditya birla sun life trustee private limited a/c - aditya birla sun life focused fund
|
1.99
|
1,328,087 |
- |
|
Invesco india contra fund
|
1.64
|
1,097,205 |
- |
|
Axis mutual fund trustee limited a/c axis mutual fund a/c axis midcap fund
|
1.53
|
1,022,970 |
- |
|
Hsbc midcap fund
|
1.19
|
797,835 |
- |
|
Edelweiss trusteeship co ltd ac- edelweiss mf ac- edelweiss mid cap fund
|
1.03
|
688,505 |
- |
|
Foreign Portfolio Investors Category I
|
38.58
*
|
25,802,525 |
490 |
|
Smallcap world fund, inc
|
3.51
|
2,348,018 |
- |
|
New world fund inc
|
1.97
|
1,320,108 |
- |
|
Government pension fund global
|
1.73
|
1,158,669 |
- |
|
Foreign Portfolio Investors Category II
|
1.63
*
|
1,089,482 |
60 |
|
Vanguard total international stock index fund
|
1.34
|
899,377 |
- |
|
Vanguard emerging markets stock index fund, a series of vanguard international equity index funds
|
1.22
|
814,716 |
- |
|
Goldman sachs funds - goldman sachs india equity portfolio
|
1.12
|
749,731 |
- |
|
Nomura india investment fund mother fund
|
1.01
|
677,107 |
- |
|
Financial Institutions / Banks
|
0.00
|
1,743 |
5 |
|
Insurance Companies
|
12.25
|
8,191,206 |
24 |
|
Life insurance corporation of india
|
5.20
|
3,476,361 |
- |
|
Hdfc life insurance company limited
|
2.00
|
1,339,829 |
- |
|
Sbi life insurance co. ltd
|
1.88
|
1,255,505 |
- |
|
Axis max life insurance limited a/c - ulif01311/02/08lifehighgr104 - high growth fund
|
1.26
|
840,700 |
- |
|
Holding Mar 2025 |
Holding Dec 2024 |
Holding May 2024 |
History |
% |
shares |
% |
shares |
% |
shares |
9.86 |
6,589,336 |
9.58 |
6,413,788 |
11.50 |
7,669,072 |
|
Name |
Holding Mar 2025 |
No of holders |
History |
% |
shares |
Individual share capital in excess of Rs. 2 Lacs
|
0.90
|
603,541 |
2 |
|
Individual share capital upto Rs. 2 Lacs
|
5.87
|
3,924,184 |
135,069 |
|
Any Others (Specify)
|
0.43
|
286,490 |
2,170 |
|
Trusts
|
0.14
|
93,531 |
- |
|
Clearing members
|
0.13
|
85,991 |
- |
|
Huf
|
0.11
|
73,255 |
- |
|
Llp
|
0.05
|
33,713 |
- |
|
Bodies Corporate
|
1.19
|
793,258 |
1,056 |
|
Non Resident Indians (NRIs)
|
0.81
|
542,260 |
5,213 |
|
Directors and their relatives
|
0.45
|
301,996 |
2 |
|
Investor Education and Protection Fund (IEPF)
|
0.19
|
126,298 |
1 |
|