PRIVI SPECIALITY CHEMICALS LIMITED Annual Report 2020-21

22 PRIVI SPECIALITY CHEMICALS LIMITED (Formerly known as Fairchem Speciality Limited) IV. SHARE HOLDING PATTERN (Equity Share Capital Breakup as % to total Equity): (i) Category-wise Share Holding: Category of Shareholders No. of Shares held at the beginning of the year No. of Shares held at the end of the year % Change during the year Demat Physical Total % of Total Shares Demat Physical Total % of Total Shares A. Promoters & Promoter Group (1) Indian a) Individual/HUF 84,06,385 – 84,06,385 21.52 84,06,385 – 84,06,385 21.52 – b) Central Govt. or State Govt. – – – – – – – – – c) Banks /FI – – – – – – – – – d) Bodies Corporates – – – – – – – – – e) Any other 14,76,388 – 14,76,388 3.78 14,76,388 – 14,76,388 3.78 – Sub-total (A)(1): 98,82,773 – 98,82,773 25.30 98,82,773 – 98,82,773 25.30 – (2) Foreign a) NRIs – Individuals – – – – – – – – – b) Other – Individuals – – – – – – – – – c) Bodies Corp. 1,90,46,078 – 1,90,46,078 48.76 1,90,46,078 – 1,90,46,078 48.76 – d) Banks / FI – – – – – – – – – e) Any other – – – – – – – – – Sub-total (A)(2): 1,90,46,078 – 1,90,46,078 48.76 1,90,46,078 – 1,90,46,078 48.76 – Total Shareholding of Promoter & Promoter Group(s) (A)= A(1)+A(2) 2,89,28,851 – 2,89,28,851 74.06 2,89,28,851 – 2,89,28,851 74.06 – B. Public Shareholding (1) Institutions a) Mutual Funds 5,21,632 – 5,21,632 1.34 7,08,947 – 7,08,947 1.81 (0.48) b) Venture Capital Funds – – – – – – – – c) Alternate Investment Funds – – – – 1,77,466 – 1,77,466 0.45 (0.45) d) Foreign Venture Capital Investors – – – – – – – – – e) Foreign Portfolio Investor 1,85,725 – 1,85,725 0.48 1,15,761 – 1,15,761 0.30 0.18 f) Financial Institution/ Banks 3,663 – 3,663 0.01 – – – – 0.01 g) Insurance Companies – – – – – – – – – h) Provident Funds/ Pension Funds – – – – – – – – – i) Any Others (specify) – – – – – – – – – Sub-total (B)(1): 7,11,020 – 7,11,020 1.82 10,02,174 – 10,02,174 2.57 (0.75)

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