Statement Showing Shareholding pattern .  
  Name of the Company: BHARAT FORGE LIMITED  
  Scrip Code: BSE: 500493 NSE: BHARATFORG  
  Quarter Ended: DECEMBER 31, 2008  
 
  (I)(a) Statement showing Shareholding Pattern  
     
 
Category Code
Category of Shareholder
Number of Shareholders
Total Number of Shares
Number of shares held in dematerialized form
Total shareholding as a % of total number of shares
As a % of (A+B)
As a % of (A+B+C)
 
A
Shareholding of Promoter and Promoter Group :
1
Indian Promoters
(a)
Individuals / Hindu Undivided Family
9
989255
989205
0.45
0.45
(b)
Central Government / State Government(s)
NIL
NIL
NIL
NIL
NIL
(c)
Bodies Corporate
20
96636727
22621706
43.40
43.40
(d)
Financial Institutions / Banks
NIL
NIL
NIL
NIL
NIL
(e)
Any Others (Specify)
NIL
NIL
NIL
NIL
NIL
   
Sub Total(A)(1)
29
97625982
23610911
43.85
43.85
             
2
Foreign Promoters
(a)

Individuals (Non-Residents Individuals / Foreign
     Individuals)

NIL
NIL
NIL
NIL
NIL
(b)
Bodies Corporate
NIL
NIL
NIL
NIL
NIL
(c)
Institutions
NIL
NIL
NIL
NIL
NIL
(d)
Any Others (Specify)
NIL
NIL
NIL
NIL
NIL
   
Sub Total(A)(2)
0
0
0
0.00
0.00
             
  Total Shareholding of Promoter and Promoter Group (A) = (A) (1) + (A) (2)
29
97625982
23610911
43.85
43.85
 
B
Public shareholding :
B-1
Institutions
(a)
Mutual Funds
15
10718526
10713626
4.81
4.81
(b)
Financial Institutions / Banks
14
13038141
13030566
5.86
5.86
(c)
Central Government / State Government(s)
NIL
NIL
NIL
NIL
NIL
(d)
Venture Capital Funds
NIL
NIL
NIL
NIL
NIL
(e)
Insurance Companies
5
10751336
10751336
4.83
4.83
(f)
Foreign Institutional Investors (including FII-DR)
49
20331179
20329334
9.13
9.13
(g)
Foreign Venture Capital Investors
NIL
NIL
NIL
NIL
NIL
(h)
Any Other (specify)
             
Sub Total(B)(1)
83
54839182
54824862
24.63
24.63
   
B-2
Non-institutions
(a)
Bodies Corporate
1268
47634037
39022897
21.39
21.39
(b)
Individuals
(b-i)
Individual shareholders holding nominal share capital up to Rs 1 lakh
72161
11967239
7664022
5.37
5.37
(b-ii)
Individual shareholders holding nominal share capital in excess of Rs. 1 lakh.
38
7343792
7234492
3.30
3.30
(c)
Any Other (specify
(c-i)
Clearing Member
245
523890
523890
0.24
0.24
(c-ii)
Trusts
96
2708949
58974
1.22
1.22
             
Sub Total(B)(2)
73808
70177907
54504275
31.52
31.52
           
  Total Public Shareholding (B) = (B) (1) + (B) (2)
73891
125017089
109329137
56.15
56.15
             
  Total (A) + (B)
73920
222643071
132940048
100.00
100.00
   
C
Others :
  Shares held by Custodians and against which Depository Receipts have been issued
1
9200
9200
--
0.00
         
GRAND TOTAL (A + B + C)
73921
222652271
132949248
--
100.00
 
 
     
     
  (I) (b) Statement showing Shareholding of persons belonging to the category : “Promoter and Promoter Group”  
     
 
Name of the Shareholder
Number of shares
Shares as a % of total number of shares{i.e. Grand Total (A)+(B)+(C) indicated in Statement at para (I) (a) above}
 
1
Mr. B.N. Kalyani
39025
0.02
2
Mr. Amit B. Kalyani
350200
0.16
3
Dr. N. A. Kalyani
175600
0.08
4
Mr. Gaurishankar N. Kalyani
350220
0.16
5
Mrs. Sulochana N. Kalyani
540
0.00
6
Mrs. Sulochana N. Kalyani jointly with Mr. B. N. Kalyani
50
0.00
7
Ms. Sheetal G. Kalyani
11490
0.01
8
Mrs. Rohini G. Kalyani
50730
0.02
9
Kum. Viraj G. Kalyani
11400
0.01
10
KSL Holding Pvt. Ltd.
23142870
10.39
11
Ajinkya Investment & Trading Company
9818925
4.41
12
Chakrapani Investments & Trades Ltd.
9510410
4.27
13
Surajmukhi Investment & Finance Ltd.
10749265
4.83
14
Gladiola Investment Pvt. Ltd.
11396420
5.12
15
Sundaram Trading and Investment Pvt. Ltd.
20534009
9.22
16
Mundhwa Investment Ltd.
2087697
0.94
17
Bhalchandra Investment Ltd.
1649300
0.74
18
Forge Investment Ltd.
1907651
0.86
19
Kalyani Utilities Development Ltd.
162690
0.07
20
Rajgad Trading Co. Pvt. Ltd.
662760
0.30
21
Tanmarg Investment & Trading Pvt. Ltd.
388000
0.17
22
Yusmarg Investment & Trading Pvt. Ltd.
822000
0.37
23
Kalyani Consultants Pvt. Ltd.
328500
0.15
24
Jannhavi Investment Pvt. Ltd.
2217570
1.00
25
Dronacharya Investment & Trading Pvt. Ltd.
70715
0.03
26
Cornflower Investment & Finance Pvt. Ltd.
247000
0.11
27
Dandakaranya Investment & Trading Pvt. Ltd.
512500
0.23
38
Campanula Investment & Finance Pvt. Ltd.
344445
0.15
29
Hastinapur Investment & Trading Pvt. Ltd.
84000
0.04
       
 
TOTAL
97625982
43.85
 
     
     
  (I) (c) Statement showing Shareholding of persons belonging to the category "Public" and holding more than 1% of the total number of shares:  
     
 
  Name of the shareholder
Number of Shares
Shares as a % of total number of shares{i.e. Grand Total (A)+(B)+(C) indicated in Statement at para (I) (a) above}
 
1
Life Insurance Corporation of India
20936167
9.40
2
Kritadnya Management & Trading Ser. P. Ltd.
8431225
3.79
3
Janus Contrarian Fund
6711673
3.01
4
The New India Assurance Co. Ltd.
6036470
2.71
5
Federated Kaufmann Fund
3009050
1.35
6
T Rowe Price International Inc A/c T Row
2878229
1.29
   
 
TOTAL
48002814
21.56
 
     
  (I) (d) Statement showing details of locked-in shares  
     
 
  Name of the shareholder
Number of Shares
Locked-in Shares as a % of total number of shares{i.e. Grand Total (A)+(B)+(C) indicated in Statement at para (I) (a) above}
 
Nil

Nil

Nil
   
 
TOTAL
Nil
Nil
 
     
  (I) (e) Insurance Companies  
     
 
Sr No Name of Insurance Company
Physical Form
Demat Form
Total No of Shares
% To Capital
   
1
GENERAL INSURANCE CORPORATION OF INDIA  

1667880

1667880
0.75
2
NATIONAL INSURANCE COMPANY LTD  

2104605

2104605
0.95
3
THE NEW INDIA ASSURANCE COMPANY LIMITED 500

6125970

6125970
2.75
4
THE ORIENTAL INSURANCE COMPANY LIMITED  

938631

938631
0.42
5
UNITED INDIA INSURANCE COMPANY LIMITED  

3750

3750

0.00
   
TOTAL

500

10840836

10841336
4.87
 
     
  (I) (f) Foreign Institutional Investors (FIIs)  
     
 
Sr No Name of Foreign Institutional Investor
Physical Form
Demat Form
Total No of Shares
% To Capital
   
1
ABN AMRO BANK N.V. LONDON BRANCH  

117000

117000
0.05
2
AEGON/TRANSAMERICA SERIES TRUST A/C  

856

856
0.00
3
AGF EMERGING MARKETS FUND  

881088

881088
0.40
4
ATLANTIS INDIA OPPORTUNITIES FUND  

392770

392770
0.18
5
ATLANTIS INTERNATIONAL UMBRELLA FUND  

300000

300000
0.13
6
ATP INVEST I  

57209

57209
0.03
7
BANQUE DEGROOF LUXEMBURG SA A/C ASIA  

100000

100000
0.04
8
BARCLAYS GLOBAL INVESTORS LIMITED AQUIL  

39098

39098
0.02
9
BARING (IRELAND) LIMITED AS TRUSTEE TO THE  

205000

205000
0.09
10
CAAM FUNDS INDIA  

800000

800000
0.36
11
CALIFORNIA PUBLIC EMPLOYEES' RETIREMENT  

135107

135107
0.06
12
CAPITALIA INVESTMENT MANAGEMENT S A  

90000

90000
0.04
13
CITIGROUP GLOBAL MARKETS MAURITIUS P LTD  

178881

178881
0.08
14
CITY OF NEW YORK GROUP TRUST  

52599

52599
0.02
15
CLERICAL MEDICAL INVESTMENT GROUP LIMIT  

10949

10949

0.00
16
COPTHALL MAURITIUS INVESTMENT LTD.  

603000

603000

0.27
17
CREDIT SUISEE (SINGAPORE) LIMITED  

729416

729416
0.33
18
DEUTSCHE SECURITIES MAURITIUS LIMITED  

813963

813963

0.37
19
DIMENSIONAL EMERGING MARKETS VALUE  

160000

160000

0.07
20
EATON VANCE STRUCTURED EMERGING MAR  

6650

6650

0.00
21
EATON VANCE TAX-MANAGED EMERGING MA  

42200

42200

0.02
22
EMERGING MARKETS CORE EQUITY PORTFOLIO  

101270

101270
0.05
23
EMERGING MARKETS SOCIAL CORE PORTFOLIO  

35107

35107
0.02
24
ESVEE CAPITAL  

25000

25000
0.01
25
FEDERATED INTERNATIONAL FUNDS PLC.  

1300

1300
0.00
26
FEDERATED KAUFMANN FUND  

5312900

5312900
2.39
27
FEDERATED KAUFMANN FUND II  

62200

62200
0.03
28
FID FUNDS (MAURITIUS) LIMITED  

4480283

4480283
2.01
29
FIDELITY INDIA FUND  

33794

33794
0.02
30
FIDELITY INVESTMENTS INTERNATIONAL A/C  

148127

148127
0.07
31
FIDELITY SELECT PORTFOLIOS - AUTOMOTIVE  

158

158
0.00
32
GE ASSET MANAGEMENT CANADA FUND - IND  

5505

5505
0.00
33
GENERAL ELECTRIC PENSION TRUST  

177272

177272
0.08
34
GOVERNMENT OF SINGAPORE  

48680

48680
0.02
35
HALIFAX FAR EASTERN FUND  

26624

26624
0.01
36
ING JANUS CONTRARIAN PORTFOLIO  

744740

744740
0.33
37
INSIGHT INVESTMENT ASIA PACIFIC EQUITY  

20346

20346
0.01
38
JANUS ADVISER CONTRARIAN FUND  

266793

266793
0.12
39
JANUS ADVISER LONG SHORT FUND  

177137

177137
0.08
40
JANUS CONTRARIAN FUND  

6997083

6997083
3.14
41
JOHN HANCOCK FUNDS II A/C JOHN HANCOCK  

6300

6300
0.00
42
JOHN HANCOCK TRUST A/C JOHN HANCOCK  

14230

14230
0.01
43
LEGAL AND GENERAL ASSURANCE (PENSION  

78134

78134
0.04
44
LEGAL AND GENERAL LIFE ASIA PACIFIC  

17556

17556
0.01
45
LEGAL AND GENERAL PMC EMERGING MARK  

72100

72100
0.03
46
MAVI INVESTMENT FUND LIMITED  

102500

102500
0.05
47
MERRILL LYNCH CAPITAL MARKETS ESPANA SA  

724896

724896
0.33
48
MONETARY AUTHORITY OF SINGAPORE  

56200

56200
0.03
49
MONETARY AUTHORITY OF SINGAPORE 'B'  

4799

4799
0.00
50
MORGAN STANLEY ASSET MANAGEMENT INC

250

0

250
0.00
51
MORGAN STANLEY ASSET MANAGEMENT INC

525

0

525
0.00
52
MORGAN STANLEY ASSET MGMT. INC. SUB

500

0

500
0.00
53
MORGAN STANLEY INVESTMENT ADVISORS  

913

913
0.00
54
MORGAN STANLEY INVESTMENT MANAGEMENT  

4659

4659
0.00
55
MORGAN STANLEY MAURITIUS COMPANY LTD.,  

55203

55203
0.02
56
NACF-CA INVESTMENT TRUST MANAGEMENT  

65000

65000
0.03
57
NEW YORK STATE COMMON RETIREMENT FUND  

7299

7299
0.00
58
NOTZ STUCKI ET CIE S.A. A/C ARUNA FUND  

22705

22705
0.01
59
PENSIONSKASSERNES ADMINISTRATION A/S  

1682

1682
0.00
60
PGGM  

138288

138288
0.06
61
PREMIER INVESTMENT FUND LIMITED  

1000

1000
0.00
62
RAYTHEON MASTER PENSION TRUST A/C RAYT  

34554

34554
0.02
63
ROBECO CAPITAL GROWTH FUNDS  

213328

213328
0.10
64
SCHRODER INDIA (MAURITIUS) LIMITED

500

0

500
0.00
65
SOCIETE GENERALE  

448

448
0.00
66
STATE STREET BANK AND TRUST COMPANY  

9625

9625
0.00
67
STICHTING PENSIOENFONDS ABP  

1224

1224
0.00
68
SUNAMERICA SERIES TRUST - INTERNATIONAL  

1498

1498
0.00
69
SWISS FINANCE CORPORATION (MAURITIUS)  

116264

116264
0.05
70
T. ROWE PRICE INTERNATIONAL INC A/C  

5630353

5630353
2.53
71
T. ROWE PRICE GLOBAL INVESTMENT SER  

86694

86694
0.04
72
THE EMERGING MARKETS FUND OF DIMENSIO  

7260

7260
0.00
73
THE EMERGING MARKETS SERIES OF THE DFA  

174384

174384
0.08
74
THE JAGUAR FUND N.V.

70

0

70
0.00
75
THE MASTER TRUST BANK OF JAPAN LTD  

27855

27855
0.01
76
VAN KAMPEN ASSET MANAGEMENT A/C VAN  

2069

2069
0.00
77
VANGUARD FTSE ALL-WORLD EX-US INDEX  

28530

28530
0.01
   
TOTAL

1845

32087655

32089500
14.41
 
     
  (II) (a) Statement showing details of Depository Receipts (DRs)  
     
 
  Type of outstanding DR (ADRs, GDRs, SDRs, etc.)
Number of outstanding DRs
Number of shares underlying outstanding DRs
Shares underlying outstanding DRs as a % of total number of shares{i.e. Grand Total (A)+(B)+(C) indicated in Statement at para (I) (a) above}
   
1
Global Depository Receipts

9200

9200

0.00
     
 
TOTAL
9200
9200
0.00
 
     
  (II) (b) Statement showing Holding of Depository Receipts (DRs), where underlying shares are in excess of 1% of the total number of shares  
     
 
  Name of the DR Holder
Type of outstanding DR (ADRs, GDRs, SDRs, etc.)
Number of shares underlying outstanding DRs
Shares underlying outstanding DRs as a % of total number of shares{i.e. Grand Total (A)+(B)+(C) indicated in Statement at para (I) (a) above}
   
Nil

Nil

Nil

Nil
     
 
TOTAL
Nil
Nil
Nil