2,04% | % Aktien im Besitz von allen Insidern |
42,09% | % Aktien im Besitz von Institutionen |
42,97% | % Streubesitz im Besitz von Institutionen |
367 | Anzahl an Institutionen mit Aktienbeteiligungen |
Inhaber | Aktien | Gemeldetes Datum | % im Umlauf | Wert |
---|---|---|---|---|
FMR, LLC | 5.888.152 | 30. Dez. 2023 | 3,47% | 490.247.548 |
Morgan Stanley | 4.610.767 | 30. Dez. 2023 | 2,72% | 383.892.470 |
Renaissance Technologies, LLC | 3.168.854 | 30. Dez. 2023 | 1,87% | 263.838.790 |
Schroder Investment Management Group | 2.894.779 | 30. Dez. 2023 | 1,71% | 241.019.305 |
Blackrock Inc. | 2.567.333 | 30. Dez. 2023 | 1,51% | 213.756.151 |
Goldman Sachs Group Inc | 2.374.408 | 30. Dez. 2023 | 1,40% | 197.693.215 |
Bank of America Corporation | 1.740.900 | 30. Dez. 2023 | 1,03% | 144.947.337 |
Greenwoods Asset Management Hong Kong Ltd. | 1.662.383 | 30. Dez. 2023 | 0,98% | 138.410.012 |
Healthcare of Ontario Pension Plan Trust Fund | 1.608.792 | 30. Dez. 2023 | 0,95% | 133.948.025 |
Keystone Investors Pte Ltd | 1.429.515 | 30. Dez. 2023 | 0,84% | 119.021.421 |
Inhaber | Aktien | Gemeldetes Datum | % im Umlauf | Wert |
---|---|---|---|---|
Fidelity Series Emerging Markets Opportunities Fund | 1.475.055 | 28. Feb. 2024 | 0,87% | 122.813.082 |
Fidelity Series Emerging Markets Fund | 1.053.728 | 28. Feb. 2024 | 0,62% | 87.733.395 |
Fidelity Blue Chip Growth Fund | 713.502 | 28. Feb. 2024 | 0,42% | 59.406.178 |
Fidelity Strategic Advisors Fidelity Emerging Markets Fund | 623.309 | 30. Jan. 2024 | 0,37% | 51.896.708 |
ACAP Strategic Fund | 614.513 | 30. Dez. 2023 | 0,36% | 51.164.353 |
Blackrock Emerging Markets Fund | 573.620 | 30. Jan. 2024 | 0,34% | 47.759.602 |
Delaware Group Global & International Funds-Emerging Markets Fd | 400.000 | 28. Feb. 2024 | 0,24% | 33.304.000 |
Driehaus Emerging Markets Growth Fund | 326.442 | 30. Dez. 2023 | 0,19% | 27.179.561 |
Fidelity Strategic Advisers Emerging Markets Fund | 300.709 | 30. Jan. 2024 | 0,18% | 25.037.031 |
Advantage Advisers Xanthus Fund, LLC | 168.960 | 30. Dez. 2023 | 0,10% | 14.067.609 |