0,00% | % Aktien im Besitz von allen Insidern |
34,68% | % Aktien im Besitz von Institutionen |
34,68% | % Streubesitz im Besitz von Institutionen |
448 | Anzahl an Institutionen mit Aktienbeteiligungen |
Inhaber | Aktien | Gemeldetes Datum | % im Umlauf | Wert |
---|---|---|---|---|
First Eagle Investment Management, LLC | 9.971.630 | 31. Dez. 2023 | 4,61% | 1.174.159.432 |
Harding Loevner LLC | 7.501.421 | 31. Dez. 2023 | 3,47% | 883.292.322 |
Royal Bank of Canada | 4.841.715 | 31. Dez. 2023 | 2,24% | 570.111.941 |
Baillie Gifford and Company | 4.183.454 | 31. März 2024 | 1,94% | 492.601.708 |
JP Morgan Chase & Company | 3.656.735 | 31. Dez. 2023 | 1,69% | 430.580.546 |
Nuveen Asset Management, LLC | 2.618.234 | 31. Dez. 2023 | 1,21% | 308.297.053 |
Schroder Investment Management Group | 2.583.664 | 31. Dez. 2023 | 1,20% | 304.226.436 |
abrdn plc | 2.420.859 | 31. Dez. 2023 | 1,12% | 285.056.147 |
Itau Unibanco Holding, S.A. | 2.003.012 | 31. Dez. 2023 | 0,93% | 235.854.663 |
Allspring Global Investments Holdings, LLC | 1.845.317 | 31. März 2024 | 0,85% | 217.286.076 |
Inhaber | Aktien | Gemeldetes Datum | % im Umlauf | Wert |
---|---|---|---|---|
First Eagle Global Fund | 4.913.976 | 31. Jan. 2024 | 2,27% | 578.620.674 |
Harding, Loevner Funds, Inc-International Equity Portfolio | 3.104.680 | 31. Jan. 2024 | 1,44% | 365.576.070 |
First Eagle Overseas Fund | 2.174.086 | 31. Jan. 2024 | 1,01% | 255.998.626 |
College Retirement Equities Fund-Stock Account | 1.374.966 | 31. Dez. 2023 | 0,64% | 161.902.246 |
Allspring Emerging Markets Equity Fund | 892.387 | 29. Feb. 2024 | 0,41% | 105.078.569 |
RBC Fds Tr-RBC Emerging Markets Equity Fd | 852.900 | 31. Dez. 2023 | 0,39% | 100.428.975 |
JP Morgan Emerging Markets Equity Fund | 697.041 | 31. Jan. 2024 | 0,32% | 82.076.577 |
Delaware Group Global & International Funds-Emerging Markets Fd | 688.329 | 29. Feb. 2024 | 0,32% | 81.050.739 |
TIAA-CREF Funds-Emerging Markets Equity Fund | 514.274 | 31. Jan. 2024 | 0,24% | 60.555.763 |
Baillie Gifford Emerging Markets Equities Fund | 441.188 | 31. Dez. 2023 | 0,20% | 51.949.887 |