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BP p.l.c. (BP)

NYSE - NYSE Delayed Price. Currency in USD
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27.55+0.29 (+1.06%)
At close: 04:00PM EDT
27.75 +0.20 (+0.73%)
After hours: 07:59PM EDT

Major holders

Currency in USD
0.01%% of shares held by all insiders
9.88%% of shares held by institutions
9.88%% of float held by institutions
1,126Number of institutions holding shares

Top institutional holders

HolderSharesDate reported% outValue
Arrowstreet Capital, Limited Partnership26,469,74429 Jun 20220.85%729,241,427
State Street Corporation24,663,35829 Jun 20220.79%679,475,494
Fisher Asset Management, LLC15,287,94329 Jun 20220.49%421,182,817
Dimensional Fund Advisors LP13,832,44329 Jun 20220.44%381,083,794
Blackrock Inc.12,726,91429 Jun 20220.41%350,626,470
Morgan Stanley11,753,11929 Jun 20220.38%323,798,419
Bank of America Corporation10,872,44429 Jun 20220.35%299,535,823
UBS Group AG7,537,75129 Jun 20220.24%207,665,034
Goldman Sachs Group Inc6,786,45529 Jun 20220.22%186,966,830
Bank of Montreal/Can/6,660,18829 Jun 20220.21%183,488,174
Franklin Resources, Inc.5,783,86529 Jun 20220.18%159,345,476
Lazard Asset Management LLC5,063,25529 Jun 20220.16%139,492,671

Top mutual fund holders

HolderSharesDate reported% outValue
DFA International Value Series6,418,58829 Apr 20220.21%176,832,094
Franklin Custodian Funds-Income Fund4,000,00029 Jun 20220.13%110,199,996
DFA International Core Equity Portfolio2,665,45229 Apr 20220.09%73,433,200
Vanguard Specialized-Energy Fund2,137,75529 Apr 20220.07%58,895,148
Dimensional ETF Tr-Dimensional International Value ETF2,254,06529 Apr 20220.07%62,099,489
BlackRock Basic Value Fund1,646,90829 Jun 20220.05%45,372,314
Fidelity Series Global Ex U.S. Index Fund810,04530 Jul 20220.03%22,316,739
College Retirement Equities Fund-Stock Account1,060,50830 Dec 20210.03%29,216,994
John Hancock Tax-Advantaged Dividend Income Fund845,45030 Jul 20220.03%23,292,146
Voya Variable Funds-Voya Growth & Income Portfolio805,09130 Jul 20220.03%22,180,256
Thrivent Large Cap Value Portfolio727,54029 Jun 20220.02%20,043,726
John Hancock Premium Dividend Fund705,95030 May 20220.02%19,448,921