VARUN BEVERAGES LIMITED
Who holds it
every fund's latest position, when it first appeared, and the price then against now · 267 rows: 246 holders and recent exits
| Fund | Weight | Since | Entry close | Now vs entry | 3-mo change | Action |
|---|---|---|---|---|---|---|
| Tata Retirement Savings Fund-Moderate Plan Retirement · held 4 mo | 0.69% | May 2026 | ₹528.00 | −20% | -0.20% | added |
| SBI MultiCap Fund Multi Cap · held 2 mo | 0.67% | Jul 2026 | ₹442.30 | −5% | +0.67% | entered |
| Bandhan Aggressive Hybrid Fund Aggressive Hybrid · held 2.0 yrs | 0.64% | Sep 2024 | ₹606.30 | −30% | -0.46% | trimmed |
| Canara Robeco Multi Cap Fund Multi Cap · held 2.0 yrs | 0.64% | Sep 2024 | ₹606.30 | −30% | -0.62% | trimmed |
| Axis Retirement Fund - Dynamic Plan Retirement · held 1.9 yrs | 0.63% | Oct 2024 | ₹597.75 | −29% | -0.40% | trimmed |
| BARODA BNP PARIBAS AGGRESSIVE HYBRID FUND Aggressive Hybrid · held 1.6 yrs | 0.63% | Feb 2025 | ₹436.05 | −3% | -0.22% | held |
| Nippon India Value Fund Value · held 5 mo | 0.62% | Apr 2026 | ₹513.70 | −18% | -0.22% | held |
| Canara Robeco Conservative Hybrid Fund Conservative Hybrid · held 1.6 yrs | 0.61% | Feb 2025 | ₹436.05 | −3% | -0.22% | trimmed |
| Axis Aggressive Hybrid Fund Aggressive Hybrid · held 1.9 yrs | 0.59% | Oct 2024 | ₹597.75 | −29% | -0.39% | trimmed |
| Axis Retirement Fund - Aggressive Plan Retirement · held 1.9 yrs | 0.59% | Oct 2024 | ₹597.75 | −29% | -0.39% | trimmed |
| SBI Arbitrage Fund Arbitrage · held 1.8 yrs | 0.57% | Nov 2024 | ₹621.20 | −32% | -0.01% | added |
| TRUSTMF ARBITRAGE FUND Arbitrage · held 6 mo | 0.57% | Oct 2025 | ₹469.65 | −10% | +0.57% | entered |
| Axis Children's Fund Childrens' · held 1.9 yrs | 0.56% | Oct 2024 | ₹597.75 | −29% | -0.39% | trimmed |
| Nippon India Aggressive Hybrid Fund (Existing Number of Segregated Portfolios - 2) Aggressive Hybrid · held 2.0 yrs | 0.56% | Sep 2024 | ₹606.30 | −30% | -0.20% | held |
| Axis Balanced Advantage Fund Dynamic Asset Allocation or Balanced Advantage · held 1.6 yrs | 0.55% | Feb 2025 | ₹436.05 | −3% | -0.32% | trimmed |
| Mirae Asset Multi Asset Allocation Fund Multi Asset Allocation · held 1.9 yrs | 0.54% | Oct 2024 | ₹597.75 | −29% | -0.22% | added |
| Mirae Asset Balanced Advantage Fund Dynamic Asset Allocation or Balanced Advantage · held 1.9 yrs | 0.53% | Oct 2024 | ₹597.75 | −29% | -0.21% | trimmed |
| Nippon India Balanced Advantage Fund Dynamic Asset Allocation or Balanced Advantage · held 1.2 yrs | 0.52% | Jul 2025 | ₹522.60 | −19% | -0.20% | held |
| Union Midcap Fund Mid Cap · held 1 mo | 0.52% | Aug 2026 | ₹400.45 | +5% | +0.52% | entered |
| Axis Arbitrage Fund Arbitrage · held 1.7 yrs | 0.51% | Jan 2025 | ₹536.75 | −21% | +0.06% | added |
| Mirae Asset Equity Savings Fund Equity Savings · held 1.9 yrs | 0.49% | Oct 2024 | ₹597.75 | −29% | -0.19% | trimmed |
| 360 ONE Multi Asset Allocation Fund Multi Asset Allocation · held 5 mo | 0.49% | Apr 2026 | ₹513.70 | −18% | -0.11% | added |
| Axis Large Cap Fund Large Cap · held 2.0 yrs | 0.47% | Sep 2024 | ₹606.30 | −30% | -0.54% | trimmed |
| Aditya Birla Sun Life Large & Mid Cap Fund Large & Mid Cap · held 1.8 yrs | 0.46% | Nov 2024 | ₹621.20 | −32% | -1.67% | trimmed |
| ICICI Prudential Arbitrage Fund Arbitrage · held 1.8 yrs | 0.46% | Dec 2024 | ₹638.50 | −34% | +0.09% | added |
| Union Balanced Advantage Fund Dynamic Asset Allocation or Balanced Advantage · held 1.1 yrs | 0.45% | Sep 2024 | ₹606.30 | −30% | +0.16% | added |
| Nippon India Large Cap Fund Large Cap · held 11 mo | 0.44% | Oct 2025 | ₹469.65 | −10% | -0.07% | added |
| Quant Multi Asset Allocation Fund Multi Asset Allocation · held 9 mo | 0.43% | Dec 2025 | ₹489.85 | −14% | -0.23% | held |
| BANDHAN MULTI ASSET ALLOCATION FUND Multi Asset Allocation · held 1.0 yrs | 0.43% | Jun 2025 | ₹457.55 | −8% | +0.20% | added |
| HDFC Arbitrage Fund Arbitrage · held 1.8 yrs | 0.43% | Dec 2024 | ₹638.50 | −34% | +0.12% | added |
| JioBlackRock Sector Rotation Fund Sectoral/ Thematic · held 7 mo | 0.42% | Feb 2026 | ₹451.40 | −7% | -0.20% | trimmed |
| Axis Multicap Fund Multi Cap · held 2.0 yrs | 0.42% | Sep 2024 | ₹606.30 | −30% | -0.77% | trimmed |
| BANDHAN NIFTY 100 INDEX FUND Index Funds · held 2.0 yrs | 0.41% | Sep 2024 | ₹606.30 | −30% | -0.13% | added |
| ICICI Prudential Nifty 100 ETF Other ETFs · held 2.0 yrs | 0.40% | Sep 2024 | ₹606.30 | −30% | -0.14% | held |
| Axis Nifty 100 Index Fund Index Funds · held 2.0 yrs | 0.40% | Sep 2024 | ₹606.30 | −30% | -0.14% | added |
| BANDHAN RETIREMENT FUND Retirement · held 2.0 yrs | 0.40% | Sep 2024 | ₹606.30 | −30% | -0.14% | held |
| HDFC NIFTY 100 ETF Other ETFs · held 2.0 yrs | 0.40% | Sep 2024 | ₹606.30 | −30% | -0.14% | trimmed |
| HDFC NIFTY 100 Index Fund Index Funds · held 1.9 yrs | 0.40% | Sep 2024 | ₹606.30 | −30% | -0.14% | added |
| LIC MF Nifty 100 ETF Other ETFs · held 2.0 yrs | 0.40% | Sep 2024 | ₹606.30 | −30% | -0.14% | added |
| Motilal Oswal Nifty 100 ETF Other ETFs · held 11 mo | 0.40% | Oct 2025 | ₹469.65 | −10% | -0.14% | added |
| Nippon India Arbitrage Fund Arbitrage · held 1.7 yrs | 0.40% | Dec 2024 | ₹638.50 | −34% | +0.29% | added |
| Nippon India ETF Nifty 100 Other ETFs · held 2.0 yrs | 0.40% | Sep 2024 | ₹606.30 | −30% | -0.14% | held |
| Parag Parikh Large Cap Fund Large Cap · held 7 mo | 0.40% | Feb 2026 | ₹451.40 | −7% | -0.14% | added |
| SBI BSE 100 ETF Other ETFs · held 2.0 yrs | 0.40% | Sep 2024 | ₹606.30 | −30% | -0.13% | trimmed |
| Union Equity Savings Fund Equity Savings · held 11 mo | 0.40% | Oct 2024 | ₹597.75 | −29% | +0.40% | entered |
| Bandhan Large & Mid Cap Fund Large & Mid Cap · held 2.0 yrs | 0.39% | Sep 2024 | ₹606.30 | −30% | -0.53% | trimmed |
| 360 ONE MSCI India ETF Other ETFs · held 4 mo | 0.38% | May 2026 | ₹528.00 | −20% | -0.14% | added |
| DSP MSCI INDIA ETF Other ETFs · held 10 mo | 0.38% | Nov 2025 | ₹481.55 | −12% | -0.14% | trimmed |
| Aditya Birla Sun Life MSCI India ETF Equity ETF · held 7 mo | 0.38% | Feb 2026 | ₹451.40 | −7% | -0.14% | added |
| Mirae Asset BSE 200 Equal Weight ETF Equity ETF · held 1.5 yrs | 0.36% | Mar 2025 | ₹539.65 | −22% | -0.18% | trimmed |
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
−1.02 pp
net change in Σ fund weight over the last three disclosures (percentage points summed across funds) · 127 added or entered, 84 trimmed or exited
Crowding
246 funds hold it, at an average weight of 1.2% each (287.1% summed across holders). At a fifth of average daily volume (64,84,361 shares), the aggregate fund position would take about 222 trading days to exit.
Who moved last quarter
the three-month flow, fund by fund — largest move first
Trimmed: funds that held it three disclosures ago and hold less of it now.
| Fund | 3-mo change | Weight now | Since | Now vs entry |
|---|---|---|---|---|
| There is no page 3; 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.