BSEInsider Trading / SAST5d ago · 10 Aug 2026, 11:47 am

The Exchange has received the disclosure under Regulation 29(2) of SEBI (Substantial Acquisition of Shares & Takeovers) Regulations, 2011 for Franklin Templeton Mutual Fund

Gateway Distriparks Ltd · 543489

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Franklin Templeton Mutual Fund has sold 772,229 shares of Gateway Distriparks Ltd, reducing its stake from 3.116% to 2.962%.

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Earnings Impact1/10
Growth Catalyst1/10
Governance Concern1/10
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Liquidity Impact8/10
Market Sentiment5/10

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Gateway Distriparks Ltd - 543489 - Disclosures under Reg. 29(2) of SEBI (SAST) Regulations, 2011

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August 10, 2026 Mr. Divyang Jain Company Secretary & Compliance Officer Gateway Distriparks Ltd Sector – 6, Dronagiri, Taluka Uran, Navi Mumbai Maharashtra - 400707 Disclosure under Regulation 29(2) of SEBI (Substantial Acquisition of Shares and Takeovers) Regulations, 2011 1. Name of the Target Company (TC) Gateway Distriparks Ltd 2. Name(s) of the seller Franklin Templeton Mutual Fund (through its various schemes) 3. Whether the seller belongs to No Promoter/Promoter group 4. Name(s) of the Stock Exchange(s) where National Stock Exchange of India Ltd the shares of TC are Listed BSE Ltd 5. Details of the sale are as follows Number % w.r.t. total % w.r.t. total share/voting Diluted capital share/voting wherever capital of the applicable (*) TC (**) Before the disposal under consideration, holding of seller: a) Shares carrying voting rights #15,569,325 # 3.116% N.A. b) Shares in the nature of Nil Nil N.A. encumbrances (pledge/ lien/non- disposal undertaking/ others) c) Voting rights (VR) otherwise than Nil Nil N.A. by shares d) Warrants/convertible Nil Nil N.A. securities/any other instrument that entitles the holder to receive shares carrying voting rights (specify holding in each category) e) Total (a+b+c) #15,569,325 # 3.116% N.A. Details of sale a) Shares carrying voting rights # 772,229 # 0.155% Nil b) VRs sold otherwise than by equity Nil Nil N.A. shares c) Warrants/convertible Nil Nil N.A. securities/any other instrument that Page 1 of 4 entitles the acquirer to receive shares carrying voting rights in the TC (specify holding in each category) sold d) Shares Nil Nil N.A. encumbered/invoked/released by the seller e) Total (a+b+c+/-d) # 772,229 # 0.155% N.A. After the disposal, holding of seller: a) Shares carrying voting rights # 14,797,096 # 2.962% N.A. b) Shares encumbered Nil Nil N.A. c) VRs otherwise than by equity Nil Nil N.A. shares d) Warrants/convertible Nil Nil N.A. securities/any other instrument that entitles the acquirer to receive shares carrying voting rights in the TC (specify holding in each category) after the said sell. e) Total (a+b+c+d) # 14,797,096 # 2.962% N.A. 6. Mode of sale (e.g. open market / off- Open Market market/public issue / rights issue / preferential allotment / inter-se transfer etc.) 7. Salient features of the securities sold Equity Shares including time till redemption, ratio at which it can be converted into equity shares, etc. 8. Date of disposal of/ date of receipt of August 06, 2026 intimation of allotment of shares / VR/ warrants/convertible securities/any other instrument that entitles the acquirer to receive shares in the TC Page 2 of 4 9. Equity share capital / total voting 499,643,836 shares capital of the TC before sale 10. Equity share capital/ total voting 499,643,836 shares capital of the TC after the sale 11. Total diluted share/voting capital of the 499,643,836 shares TC after the sale (*) Total share capital/ voting capital to be taken as per the latest filing done by the company to the Stock Exchange under Clause 35 of the Listing Agreement. (**) Diluted share/voting capital means the total number of shares in the TC assuming full conversion of the outstanding convertible securities/warrants into equity shares of the TC. (#) refer Annexure for scheme-wise details for Franklin Templeton Mutual Fund Saurabh Gangrade Compliance Officer Place : Mumbai Date : August 10, 2026 Cc: BSE Ltd Department of Corporate Relations Phiroze Jeejeebhoy Towers Dalal Street, Fort Mumbai 400 023 National Stock Exchange of India Ltd Listing Department Exchange Plaza Bandra Kurla Complex Bandra (East), Mumbai 400 051 Page 3 of 4 Annexure Pre-sell holdings Post-sell holdings Number % of Name of the schemes % of of Shares Total % of No. of No. of Total Sold shares Total shares shares shares shares Franklin India Small 1,15,73,926 2.316% 5,74,060 0.115% 1,09,99,866 2.202% Cap Fund Franklin Build India 26,63,663 0.533% 1,32,116 0.026% 25,31,547 0.507% Fund Templeton India 13,31,736 0.267% 66,053 0.013% 12,65,683 0.253% Value Fund Total 1,55,69,325 3.116% 7,72,229 0.155% 1,47,97,096 2.962% Page 4 of 4