Columbia Variable Portfolio - Emerging Markets Fund NSE:BAJFINANCE Holdings History
Columbia Variable Portfolio - Emerging Markets Fund's Bajaj Finance Ltd Holding Summary
As of 2025-03-31, Columbia Funds Variable Series Trust II held - shares of Bajaj Finance Ltd(NSE:BAJFINANCE), totaling N/A. This investment constitutes 0% of their stock portfolio, and Columbia Funds Variable Series Trust II now holds 0% of the outstanding Bajaj Finance Ltd(NSE:BAJFINANCE) stock.
The initial trade took place in 2019Q3. And since then Columbia Variable Portfolio - Emerging Markets Fund has made 5 purchases of NSE:BAJFINANCE, at an average price of ₹475.40, for a total of 261,930.00 shares. In addition, there have been 9 sales at an average price of ₹657.39 for 261,930.00 shares. Based on historical transaction data and NSE:BAJFINANCE's current price of ₹927.65, Columbia Variable Portfolio - Emerging Markets Fund's estimated gain on his NSE:BAJFINANCE holdings is ₹47.67 Mil, reflecting a 38.28% gain to date.
Columbia Variable Portfolio - Emerging Markets Fund NSE:BAJFINANCE (₹927.65) Holding Chart
Columbia Variable Portfolio - Emerging Markets Fund NSE:BAJFINANCE (₹927.65) Quarterly Buys and Sells
Period | Bought/Sold (Sh.) | % Change | Qtr. End Shares | Avrg. Price |
---|---|---|---|---|
Shares Bought | 0 | Average Price ₹-/Share | ||
Shares Sold | 0 | Average Price ₹-/Share | ||
Current Price ₹0.00 | Total Estimated Gain 0 % |
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