BHARAT PETROLEUM CORP LT
Who holds it
every fund's latest position, when it first appeared, and the price then against now · 231 rows: 207 holders and recent exits
| Fund | Weight | Since | Entry close | Now vs entry | 3-mo change | Action |
|---|---|---|---|---|---|---|
| Tata Balanced Advantage Fund Dynamic Asset Allocation or Balanced Advantage · held 6.8 yrs | 0.88% | Aug 2019 | ₹177.63 | +77% | +0.09% | held |
| Nippon India ETF Nifty Infrastructure BeES Other ETFs · held 7.0 yrs | 1.75% | Sep 2019 | ₹235.05 | +34% | +0.12% | trimmed |
| DSP Aggressive Hybrid Fund Aggressive Hybrid · held 1.8 yrs | 0.63% | Sep 2019 | ₹235.05 | +34% | +0.35% | added |
| Motilal Oswal Nifty 500 Index Fund Index Funds · held 6.9 yrs | 0.33% | Sep 2019 | ₹235.05 | +34% | +0.02% | added |
| Tata ELSS - Tax Saver Fund ELSS · held 2.8 yrs | 0 | Sep 2019 | ₹235.05 | +34% | — | exited Jun 2026 |
| Tata Large Cap Fund Large Cap · held 2.1 yrs | 0 | Sep 2019 | ₹235.05 | +34% | — | exited Jun 2026 |
| ICICI Prudential Commodities Fund Sectoral/ Thematic · held 4.1 yrs | 1.36% | Oct 2019 | ₹263.30 | +19% | +0.77% | added |
| Aditya Birla Sun Life PSU Equity Fund Sectoral/ Thematic · held 6.7 yrs | 3.51% | Dec 2019 | ₹245.78 | +28% | +0.22% | held |
| Axis Nifty 100 Index Fund Index Funds · held 5.9 yrs | 0.48% | Dec 2019 | ₹245.78 | +28% | +0.03% | added |
| Tata Multi Asset Allocation Fund Multi Asset Allocation · held 4.2 yrs | 0.57% | Mar 2020 | ₹158.45 | +98% | +0.03% | held |
| UTI Aggressive Hybrid Fund Aggressive Hybrid · held 2.8 yrs | 0 | Apr 2020 | ₹185.00 | +70% | — | exited Jun 2026 |
| UTI Retirement Fund Retirement · held 2.8 yrs | 0 | Apr 2020 | ₹185.00 | +70% | — | exited Jun 2026 |
| Axis Arbitrage Fund Arbitrage · held 4.4 yrs | 0.04% | Jun 2020 | ₹187.00 | +68% | -0.11% | trimmed |
| UTI - Master Equity Plan Unit Scheme ELSS · held 2.8 yrs | 0.51% | Sep 2020 | ₹176.53 | +78% | -0.20% | trimmed |
| Sundaram Large Cap Fund ( Formerly Know as Sundaram Blue Chip Fund) Large Cap · held 2.5 yrs | 0.54% | Oct 2020 | ₹177.23 | +77% | +0.03% | held |
| Axis Balanced Advantage Fund Dynamic Asset Allocation or Balanced Advantage · held 2.8 yrs | 0.37% | Feb 2021 | ₹224.93 | +40% | +0.02% | held |
| ICICI Prudential India Opportunities Fund Sectoral/ Thematic · held 2.8 yrs | 0.47% | Mar 2021 | ₹213.98 | +47% | +0.47% | entered |
| ICICI Prudential Value Fund (erstwhile Value Discovery Fund) Value · held 5.5 yrs | 0.18% | Mar 2021 | ₹213.98 | +47% | -0.15% | trimmed |
| DSP Value Fund Value · held 4.8 yrs | 0.90% | Apr 2021 | ₹210.90 | +49% | 0.00% | added |
| LIC MF ELSS Tax Saver Fund ELSS · held 1.4 yrs | 0 | Apr 2021 | ₹210.90 | +49% | — | exited May 2026 |
| Tata Dividend Yield Fund Dividend Yield · held 1.7 yrs | 0 | May 2021 | ₹236.00 | +33% | — | exited Jun 2026 |
| ICICI Prudential Children's Fund Children's · held 2.6 yrs | 1.00% | Jul 2021 | ₹222.75 | +41% | +1.00% | entered |
| Sundaram Infrastructure Advantage Fund (Erstwhile Sundaram Capex Opportunities) Sectoral/ Thematic · held 5.0 yrs | 1.92% | Aug 2021 | ₹235.83 | +33% | +0.20% | held |
| ICICI Prudential Retirement Fund Hybrid Aggressive Plan Retirement · held 2.6 yrs | 1.49% | Aug 2021 | ₹235.83 | +33% | +0.72% | added |
| Mirae Asset Large Cap Fund Large Cap · held 1.8 yrs | 1.22% | Aug 2021 | ₹235.83 | +33% | +0.08% | held |
| Mirae Asset ELSS Tax Saver Fund ELSS · held 5.1 yrs | 1.04% | Aug 2021 | ₹235.83 | +33% | +0.18% | added |
| Mirae Asset Aggressive Hybrid Fund Aggressive Hybrid · held 3.8 yrs | 0.59% | Aug 2021 | ₹235.83 | +33% | +0.15% | added |
| Mirae Asset Equity Savings Fund Equity Savings · held 4.1 yrs | 0.32% | Aug 2021 | ₹235.83 | +33% | +0.13% | added |
| Sundaram Nifty 100 Equal Weight Fund (Formerly Known as Principal Nifty 100 Equal Weight Fund) Index Funds · held 4.7 yrs | 1.00% | Dec 2021 | ₹192.73 | +63% | +0.05% | added |
| Mirae Asset Nifty India Manufacturing ETF Equity ETF · held 4.7 yrs | 1.52% | Jan 2022 | ₹198.53 | +58% | -0.01% | trimmed |
| Axis Value Fund Value · held 3.8 yrs | 0.89% | Jan 2022 | ₹198.53 | +58% | -0.08% | held |
| Mirae Asset Nifty 100 ESG Sector Leaders ETF Equity ETF · held 3.2 yrs | 0.73% | Jan 2022 | ₹198.53 | +58% | +0.06% | held |
| UTI Conservative Hybrid Fund Conservative Hybrid · held 4.0 yrs | 0.21% | Jan 2022 | ₹198.53 | +58% | +0.02% | held |
| BANDHAN NIFTY 100 INDEX FUND Index Funds · held 4.5 yrs | 0.49% | Feb 2022 | ₹174.90 | +80% | +0.04% | added |
| Motilal Oswal BSE Enhanced Value ETF Other ETFs · held 4.1 yrs | 7.61% | Aug 2022 | ₹164.33 | +91% | +0.79% | added |
| Motilal Oswal BSE Enhanced Value Index Fund Index Funds · held 4.1 yrs | 7.52% | Aug 2022 | ₹164.33 | +91% | +0.71% | added |
| ICICI Prudential Nifty Infrastructure ETF Other ETFs · held 4.1 yrs | 1.75% | Aug 2022 | ₹164.33 | +91% | +0.12% | trimmed |
| Mirae Asset Balanced Advantage Fund Dynamic Asset Allocation or Balanced Advantage · held 4.1 yrs | 0.58% | Aug 2022 | ₹164.33 | +91% | +0.20% | added |
| Navi Nifty India Manufacturing Index Fund Index Funds · held 1.9 yrs | 1.52% | Sep 2022 | ₹152.40 | +106% | +0.07% | added |
| ICICI PRUDENTIAL PSU EQUITY FUND Sectoral/ Thematic · held 3.9 yrs | 3.34% | Oct 2022 | ₹151.83 | +107% | +0.85% | added |
| ICICI Prudential Nifty Commodities ETF Other ETFs · held 3.8 yrs | 3.15% | Dec 2022 | ₹165.25 | +90% | +0.50% | trimmed |
| Mirae Asset Arbitrage Fund Arbitrage · held 2.6 yrs | 0.58% | Mar 2023 | ₹172.15 | +82% | +0.20% | added |
| UTI Nifty 500 Value 50 Index Fund Equity Funds · held 3.3 yrs | 4.33% | May 2023 | ₹181.75 | +73% | +1.20% | added |
| Canara Robeco Infrastructure Fund Sectoral/ Thematic · held 3.3 yrs | 1.90% | May 2023 | ₹181.75 | +73% | +0.16% | held |
| Canara Robeco Value Fund Value · held 3.3 yrs | 1.62% | May 2023 | ₹181.75 | +73% | +0.07% | held |
| Axis Quant Fund Sectoral/ Thematic · held 1.2 yrs | 3.53% | Sep 2023 | ₹173.30 | +81% | +3.53% | entered |
| Motilal Oswal Nifty 500 ETF Other ETFs · held 3.0 yrs | 0.33% | Sep 2023 | ₹173.30 | +81% | +0.02% | added |
| Mirae Asset Flexi Cap Fund Flexi Cap · held 2.7 yrs | 0.73% | Jan 2024 | ₹251.18 | +25% | -0.18% | trimmed |
| Mirae Asset Multi Asset Allocation Fund Multi Asset Allocation · held 2.7 yrs | 0.56% | Jan 2024 | ₹251.18 | +25% | +0.17% | added |
| Bajaj Finserv Balanced Advantage Fund Dynamic Asset Allocation or Balanced Advantage · held 1.3 yrs | 0 | Jan 2024 | ₹251.18 | +25% | — | exited Jun 2026 |
A holder disclosed the stock in the latest month or the one before; an exit is listed for three disclosures. Entry close is the split- and bonus-adjusted close at the end of the month the fund first disclosed the position; “now vs entry” is price only, not the fund's return on the position. Estimated cost basis per fund from monthly unit deltas is not computed in this build.
Three-month flow
+0.47 pp
net change in Σ fund weight over the last three disclosures (percentage points summed across funds) · 130 added or entered, 57 trimmed or exited
Crowding
207 funds hold it, at an average weight of 1.7% each (342.5% summed across holders). At a fifth of average daily volume (58,69,143 shares), the aggregate fund position would take about 301 trading days to exit.
Who moved last quarter
the three-month flow, fund by fund — largest move first
Added: funds that held it three disclosures ago and hold more of it now.
| Fund | 3-mo change | Weight now | Since | Now vs entry |
|---|---|---|---|---|
| There is no page 6; back to the first. | ||||
One year, adjusted
daily close, split- and bonus-adjusted
Prices are the NSE close — the company quotes on both exchanges and the NSE carries the liquidity for almost every dual listing, so one series is shown rather than two that would mostly agree. The series is adjusted for splits and bonuses so a 1:1 bonus does not read as a 50% fall. A dated corporate-action timeline (rights, demergers) is not loaded in this build and is not shown rather than guessed.