BSEInsider Trading / SAST3d ago · 25 Jul 2026, 11:32 am
The Exchange has received the disclosure under Regulation 29(1) of SEBI (Substantial Acquisition of Shares & Takeovers) Regulations, 2011 for JP Morgan Asset Management (UK) Ltd & Others
Computer Age Management Services Ltd · 543232
✦ AI SummaryRegulatory
JP Morgan Asset Management (UK) Ltd & Others have made a disclosure under Regulation 29(1) of SEBI (Substantial Acquisition of Shares & Takeovers) Regulations, 2011, indicating a significant acquisition of shares in Computer Age Management Services Ltd. The acquirer, JP Morgan Asset Management (UK) Ltd, has acquired 1,47,463 shares, representing 0.06% of the total voting capital, and now holds 1,25,26,258 shares, representing 5.05% of the total voting capital.
Analysis Scores
Earnings Impact2/10
Growth Catalyst1/10
Governance Concern1/10
Regulatory Risk8/10
Balance Sheet Risk2/10
Liquidity Impact5/10
Market Sentiment5/10
✦ Ask a Question
Ask anything about this announcement — AI will answer based on the filing content.
Full Announcement
Computer Age Management Services Ltd - 543232 - Disclosures under Reg. 29(1) of SEBI (SAST) Regulations, 2011
Attachments (1)
📄pdf
Download →
EBDB578F_F47B_4927_BD66_149057E40820_113215.pdf
View document text
Disclosures under Regulation 29(1) of SEBI (Substantial Acquisition of Shares and Takeovers)
Regulations, 2011
Part-A- Details of the Acquisition
Computer Age Management Services Limited
Name of the Target Company (TC)
Fund Managers
Name(s) of the acquirer and Persons Acting in
JPMORGAN ASSET MANAGEMENT (UK)
Concert (PAC) with the acquirer
LIMITED
Fund Holders
1. JPM Emerging Markets Small Cap Fund
2. JPMorgan India Smaller Companies
Fund (A/C 626127)
3. JPMorgan India Fund (A/C 614198)
4. JPMorgan Indian Investment Trust Plc -
Trading
5. JPMorgan Funds India Fund - Trading
6. GIM India Equity Active Open Mother
Fund- Trading
7. JPM India Research Enhanced Index
Equity Active UCITS ETF
Fund Managers
J.P. MORGAN INVESTMENT
MANAGEMENT INC.
Fund Holders
1. JPMorgan ActiveBuilders Emerging
Markets Equity ETF
Fund Managers
JPMORGAN CHASE BANK, N.A.
Fund Holders
1. JPMCB ActiveBuilders Emerging
Markets Equity Fund
Fund Managers
JPMORGAN ASSET MANAGEMENT (ASIA
PACIFIC) LIMITED
Fund Holders
1. Strathclyde Pension Scheme/PRPG
2. VAWL Masterfonds - Segment JPM
3. GIM Asia Oceania High Income Equity
MF (JTSB780000)(A/C 628824)
4. JPMorgan Funds - Asia Pacific Income
Fund-EQT (A/C 629178)
5. Singapore and Asia Equity Income Fund
-Asia Equity
6. JPMorgan Asia Equity High Income
(A/C 600734)
7. JPMorgan Asia Equity Dividend Fund
(A/C 628771)
Fund Managers
JPMORGAN ASSET MANAGEMENT
(TAIWAN) LIMITED
Fund Holders
1. JPMorgan (Taiwan) Pacific Balanced
Fund (A/C 622969)
2. JPMorgan (Taiwan) Asia Equity
Dividend Fund (A/C 630285)
Fund Managers
JPMORGAN ASSET MANAGEMENT
(SINGAPORE) LIMITED
Fund Holders
1. JPMorgan Asian Smaller Companies
Fund (A/C 616052)
Whether the acquirer belongs to Promoter/Promoter
group
National Stock Exchange of India Limited
Name(s) of the Stock Exchange(s) where the shares
BSE Limited
of TC are Listed
Number % w.r.t. % w.r.t. total
total diluted
Details of the acquisition as follows
share/voting share/voting
capital capital of the TC
wherever (**)
applicable(*
Before the acquisition under consideration, holding
of acquirer along with PACs of:
1,23,78,795 4.99% 4.99%
a) Shares carrying voting rights
b) Shares in the nature of encumbrance (pledge/
lien/ non-disposal undertaking/ others)
c) Voting rights (VR) otherwise than by equity
shares
d) Warrants/convertible securities/any other
instrument that entitles the acquirer to receive
4.99% 4.99%
shares carrying voting rights in the TC (specify 1,23,78,795
holding in each category)
e) Total (a+b+c+d)
Details of acquisition
1,47,463 0.06% 0.06%
a) Shares carrying voting rights acquired
b) VRs acquired otherwise than by equity shares
c) Warrants/convertible securities/any other
instrument that entitles the acquirer to receive
shares carrying voting rights in the TC (specify
holding in each category) acquired
d) Shares in the nature of encumbrance (pledge/
lien/ non-disposal undertaking/ others)
e) Total (a+b+c+/-d)
1,47,463 0.06% 0.06%
After the acquisition, holding of
acquirer along with PACs of:
5.05% 5.05%
1,25,26,258
a) Shares carrying voting rights
b) VRs otherwise than by equity shares
c) Warrants/convertible securities/any
other instrument that entitles the
acquirer to receive shares carrying
voting rights in the TC (specify holding
in each category) after acquisition
d) Shares in the nature of encumbrance
(pledge/ lien/ non-disposal undertaking/
others) 1,25,26,258 5.05% 5.05%
e) Total (a+b+c+d)
Mode of acquisition (e.g. open market / public
Open Market
issue / rights issue / preferential allotment /
inter-se transfer/encumbrance, etc.)
Salient features of the securities acquired
including time till redemption, ratio at which it
can be converted into equity shares, etc.
Date of acquisition of/ date of receipt of
22 July, 2026
intimation of allotment of shares / VR/
warrants/convertible securities/any other
instrument that entitles the acquirer to receive
shares in the TC.
24,82,04,728 equity shares of face
Equity share capital / total voting capital of
value of Rs.2 each amounting to Rs.
the TC before the said acquisition
49,64,09,456
24,82,04,728 equity shares of face
Equity share capital/ total voting capital of the
value of Rs.2 each amounting to Rs.
TC after the said acquisition
49,64,09,456
24,82,04,728 equity shares of face
Total diluted share/voting capital of the TC
value of Rs.2 each amounting to Rs.
after the said acquisition
49,64,09,456
Part-B***
Name of the Target Company:
Whether the
acquirer belongs to
Name(s) of the acquirer and Persons Acting in Concert Promoter/ Promoter
(PAC) with the acquirer group PAN of the acquirer and/ or PACs
JPM Emerging Markets Small Cap Fund No AABCJ4972E
JPMorgan India Smaller Companies Fund No AABTJ6237F
JPMorgan India Fund No AAATJ0053C
JPMorgan Indian Investment Trust Plc -
Trading No AADCJ8075C
JPMorgan Funds India Fund - Trading No AABCJ4972E
GIM India Equity Active Open Mother Fund-
Trading No AAFFJ2490Q
JPM India Research Enhanced Index Equity
Active UCITS ETF No AAGCJ8927J
JPMorgan ActiveBuilders Emerging Markets
Equity ETF No AADTJ9249F
JPMCB ActiveBuilders Emerging Markets
Equity Fund No AAETJ3777F
Strathclyde Pension Scheme/PRPG No AAALS1489D
VAWL Masterfonds - Segment JPM No AAJAV6400H
GIM Asia Oceania High Income Equity MF
(JTSB780000) No AABTJ4776D
JPMorgan Funds - Asia Pacific Income Fund-
EQT No AABCJ4972E
Singapore and Asia Equity Income Fund -
Asia Equity No AABCJ4972E
JPMorgan Asia Equity High Income No AAETJ6843Q
JPMorgan Asia Equity Dividend Fund No AACTJ0993M
JPMorgan (Taiwan) Pacific Balanced Fund No AAAAJ4349N
JPMorgan (Taiwan) Asia Equity Dividend Fund No AACTJ4272B
JPMorgan Asian Smaller Companies Fund No AABTJ0662Q
Signature of the acquirer/ Authorised Signatory
Usha B. Basaweka
Place:
JPMorgan Chase Bank,N.A.
Magma,Unit1,PH IV,SY 83/1,PLOT NO 2, Gr-2 Fl, 5-16 Fl,
Floor07,Hyderabad, IN-TG, 500081
Legal and Compliance, Asia Disclosure of Interest Team -India
Date:24 July, 2026
Note:
(*) Totalsharecapital/ voting capital to betaken asper the latest filing done by thecompany to the Stock
Exchange under Clause 35 of the listingAgreement.
(**) Diluted share/voting capital means the total number ooff shares iinn the TTCCassuming full conversion of
the outstanding convertible securities/warrants intoequityshares oftheTC.
(***) Part-B shall bedisclosedttoo the Stock Exchanges but shall not be disseminated.