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SUB: SHAREHOLDING PATTERN AS PER REGULATION 31 (1) …

AXIS/CO/CS/570A/2021-22 January 18, 2022 The Chief Manager (Listing & Compliance) National Stock Exchange of India Limited Exchange Plaza, 5th Floor Plot No. C/1, G Block Bandra-Kurla Complex Bandra (E), Mumbai 400 051 NSE Symbol: AXISBANK The Senior General Manager (Listing) BSE Limited 1st Floor, New Trading Ring, Rotunda Building P. J. Towers, Dalal Street Fort, Mumbai 400 001 BSES crip Code: 532215 Dear Sir(s), SUB: SHAREHOLDING PATTERN AS PER REGULATION 31 (1) (B) OF SEBI (LISTING OBLIGATIONS AND DISCLOSURE REQUIREMENTS) REGULATIONS, 2015 ("LISTING REGULATIONS") AS ON DECEMBER 31, 2021 Pursuant to the REGULATION 31 (1)(b) of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 ("Listing Regulations"), we enclose herewith the shar

Pursuant to the regulation 31 (1)(b) of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 ("Listing Regulations"), we enclose herewith the share holding pattern of the Bank for the quarter ended December 31, 2021. ... Custodian/DR 1Holder 67188295 6,71,88,2950.00 THE BANK OF NEW YORK MELLON, DR

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Transcription of SUB: SHAREHOLDING PATTERN AS PER REGULATION 31 (1) …

1 AXIS/CO/CS/570A/2021-22 January 18, 2022 The Chief Manager (Listing & Compliance) National Stock Exchange of India Limited Exchange Plaza, 5th Floor Plot No. C/1, G Block Bandra-Kurla Complex Bandra (E), Mumbai 400 051 NSE Symbol: AXISBANK The Senior General Manager (Listing) BSE Limited 1st Floor, New Trading Ring, Rotunda Building P. J. Towers, Dalal Street Fort, Mumbai 400 001 BSES crip Code: 532215 Dear Sir(s), SUB: SHAREHOLDING PATTERN AS PER REGULATION 31 (1) (B) OF SEBI (LISTING OBLIGATIONS AND DISCLOSURE REQUIREMENTS) REGULATIONS, 2015 ("LISTING REGULATIONS") AS ON DECEMBER 31, 2021 Pursuant to the REGULATION 31 (1)(b) of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 ("Listing Regulations"), we enclose herewith the share holding PATTERN of the Bank for the quarter ended December 31, 2021.

2 You are requested to take the above on record. Thanking you, Yours faithfully, For Axis Bank Limited Sd/- Sandeep Poddar Company Secretary General information about company Scrip code 532215 NSE Symbol AXISBANK MSEI Symbol NOTLISTED ISIN INE238A01034 Name of the company AXIS BANK LIMITED Whether company is SME No Class of Security Equity Shares Type of report Quarterly Quarter Ended / Half year ended/Date of Report (For Prelisting / Allotment) 31-12-2021 Date of allotment / extinguishment (in case Capital Restructuring selected) / Listing Date SHAREHOLDING PATTERN filed under REGULATION 31 (1) (b)

3 Whether the listed entity is Public Sector Undertaking (PSU)? No Particular Yes/No Whether the Listed Entity has issued any partly paid up shares? No Whether the Listed Entity has issued any Convertible Securities ? No Whether the Listed Entity has issued any Warrants ? No Whether the Listed Entity has any shares against which depository receipts are issued? Yes Whether the Listed Entity has any shares in locked-in? No Whether any shares held by promoters are pledge or otherwise encumbered? No Whether company has equity shares with differential voting rights? No Whether the listed entity has any significant beneficial owner?

4 No Summary statement holding of specified securities Category of shareholder No. of shareholders No. of fully paid up equity shares held No. of shares underlying Depository Receipts Total no. shares held SHAREHOLDING as a % of total no. of shares (calculated as per SCRR, 1957)As a % of (A+B+C2) No. of Voting Rights Total as a % of Total Voting right No. of equity shares held in dematerialized form (A) Promoter & Promoter Group 2 29,13,56,548 29,13,56,548 29,13,56,548 29,13,56,548 (B) Public 8,52,511 2,70,81,71,741 9,45,174 2,70,91,16,915 2,70,91,16,915 2,70,51,36,048 (C1) Shares underlying DRs 1 6,71,88,295 6,71,88,295 6,71,88,295 6,71,88,295 (C2) Shares held by Employee Trust (C)

5 Non Promoter-Non Public 1 6,71,88,295 6,71,88,295 6,71,88,295 6,71,88,295 Grand Total 8,52,514 3,06,67,16,584 9,45,174 3,06,76,61,758 3,06,76,61,758 3,06,36,80,891 Statement showing SHAREHOLDING PATTERN of the Promoter and Promoter Group Category of shareholder Entity Type Nos. of shareholders No. of fully paid up equity shares held No. of shares underlying Depository Receipts Total nos. shares held SHAREHOLDING as a % of total no. of shares (calculated as per SCRR, 1957)As a % of (A+B+C2) Number of equity shares held in dematerialized form A1) Indian Financial Institutions/ Banks 2 29,13,56,548 29,13,56,548 29,13,56,548 LIFE INSURANCE CORPORATION OF INDIA Promoter 1 24,48,21,645 24,48,21,645 24,48,21,645 ADMINISTRATOR OF THE SPECIFIED UNDERTAKING OFTHE UNIT TRUST OF INDIA Promoter 1 4,65,34,903 4,65,34,903 4,65,34,903 Sub Total A1 2 29,13,56,548 29,13,56,548 29,13,56,548 A2)

6 Foreign A=A1+A2 2 29,13,56,548 29,13,56,548 29,13,56,548 Statement showing SHAREHOLDING PATTERN of the Public shareholder Category & Name of the Shareholders No. of shareholder No. of fully paid up equity shares held No. of shares underlying Depository Receipts Total no. shares held SHAREHOLDING % calculated as per SCRR, 1957 As a % of (A+B+C2) No. of Voting Rights Total as a % of Total Voting right No. of equity shares held in dematerialized form(Not Applicable) B1) Institutions 0 0 Mutual Funds/ 39 677877013 67,78,77,013 67,78,77,013 67,78,77,013 ICICI PRUDENTIAL RETIREMENT FUND-PURE EQUITY PLAN 1 126323227 12,63,23,227 12,63,23,227 12,63,23,227 HDFC TRUSTEE COMPANY LTD A/C - HDFC CHILDREN'S GIFT FUND - INVESTMENT PLAN 1 54134240 5,41,34,240 5,41,34,240 5,41,34,240 KOTAK EQUITY SAVINGS FUND 1 49799602 4,97,99,602 4,97,99,602 4,97,99,602 NIPPON LIFE INDIA TRUSTEE LTD-A/C NIPPON INDIA INDEX FUND - SENSEX PLAN 1 57602859 5,76,02,859 5,76,02,859 5,76,02,859 UTI NIFTY INDEX FUND 1 37754497 3,77,54,497 3,77,54,497 3,77,54.

7 497 SBI NIFTY INDEX FUND 1 115280178 11,52,80,178 11,52,80,178 11,52,80,178 MIRAE ASSET EQUITY SAVINGS FUND 1 53291838 5,32,91,838 5,32,91,838 5,32,91,838 Alternate Investment Funds 52 21314993 2,13,14,993 2,13,14,993 2,13,14,993 Foreign Portfolio Investors 1071 1422502469 8,90,173 1,42,33,92,642 1,42,33,92,642 1,42,33,92,642 GOVERNMENT OF SINGAPORE - E 1 47828209 4,78,28,209 4,78,28,209 4,78,28,209 OAKMARK INTERNATIONAL FUND 1 31445800 3,14,45,800 3,14,45,800 3,14,45,800 VANGUARD EMERGING MARKETS STOCK INDEX FUND, A SERI 1 31497353 3,14,97,353 3,14,97,353 3,14,97,353 DODGE AND COX INTERNATIONAL STOCK FUND 1 82967250 8,29,67,250 8,29,67,250 8,29,67,250 GOVERNMENT PENSION FUND GLOBAL 1 46250367 4,62,50,367 4,62,50,367 4,62,50,367 BNP PARIBAS ARBITRAGE - ODI 1 31679838 3,16,79,838 3,16,79,838 3,16,79,838 Financial Institutions/ Banks 6 30780632 3,07,80,632 3,07,80,632 3,07,80,632 Insurance Companies 24 54675744 5,46,75,744 5,46,75,744 5,46,75,744 Any Other (specify)

8 26 121838038 12,18,38,038 12,18,38,038 12,18,38,038 Qualified Institutional Buyer 26 121838038 12,18,38,038 12,18,38,038 12,18,38,038 ICICI PRUDENTIAL LIFE INSURANCE COMPANY LIMITED 1 32163615 3,21,63,615 3,21,63,615 3,21,63,615 NPS TRUST- A/C UTI RETIREMENT SOLUTIONS PENSION FU 1 33853436 3,38,53,436 3,38,53,436 3,38,53,436 Sub Total B1 1218 2328988889 8,90,173 2,32,98,79,062 2,32,98,79,062 2,32,98,79,062 B2) Central Government/ State Government(s)/ President of India 0 0 B3) Non-Institutions 0 0 Individual share capital upto Rs. 2 Lacs 822588 140056254 1 14,00,56,255 14,00,56,255 13,61,05,088 Individual share capital in excess of Rs.

9 2 Lacs 86 34446281 3,44,46,281 3,44,46,281 3,44,34,581 NBFCs registered with RBI 9 14615 14,615 14,615 14,615 Any Other (specify) 28610 204665702 55,000 20,47,20,702 20,47,20,702 20,47,02,702 Trusts 47 19506280 1,95,06,280 1,95,06,280 1,95,06,280 Non-Resident Indian (NRI) 14955 8709493 55,000 87,64,493 87,64,493 87,62,493 Clearing Members 202 2256343 22,56,343 22,56,343 22,56,343 Bodies Corporate 3055 40601546 4,06,01,546 4,06,01,546 4,05,85,546 IEPF 1 885636 8,85,636 8,85,636 8,85,636 HUF 10343 2400947 24,00,947 24,00,947 24,00,947 Foreign Nationals 2 902 902 902 902 Overseas Corporate Bodies 5 130304555 13,03,04,555 13,03,04,555 13,03,04,555 INTEGRAL INVESTMENTS SOUTH ASIA IV - FDI 1 31900000 3,19,00,000 3,19,00,000 3,19,00,000 BC ASIA INVESTMENTS III LIMITED - FDI 1 40000000 4,00,00,000 4,00,00,000 4,00,00.

10 000 BC ASIA INVESTMENTS VII LIMITED - FDI 1 55600000 5,56,00,000 5,56,00,000 5,56,00,000 Sub Total B3 851293 379182852 55,001 37,92,37,853 37,92,37,853 37,52,56,986 B=B1+B2+B3 852511 2708171741 9,45,174 2,70,91,16,915 2,70,91,16,915 2,70,51,36,048 Statement showing SHAREHOLDING PATTERN of the Non Promoter- Non Public shareholder Category & Name of the Shareholders(I) No. of shareholder(III) No. of fully paid up equity shares held(IV) Nos. of shares underlying Depository Receipts(VI) Total no. shares held(VII = IV+V+VI) SHAREHOLDING % calculated as per SCRR, 1957 As a % of (A+B+C2)(VIII) Number of equity shares held in dematerialized form(XIV)(Not Applicable) C1) Custodian/DR Holder 0 0 Custodian/DR Holder 1 67188295 6,71,88,295 6,71,88,295 THE BANK OF NEW YORK MELLON, DR 1 67188295 6,71,88,295 6,71,88,295 Sub Total C1 1 67188295 6,71,88,295 6,71,88,295 C2) Employee Benefit Trust 0 0 C= C1+C2 1 67188295 6,71,88,295 6,71,88,295


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