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Franklin Street Properties Corp. (FSP)

NYSE American - NYSE American Precio retrasado. Divisa en USD.
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1.9100-0.0200 (-1.04%)
Al cierre: 04:00PM EDT
1.9100 -0.01 (-0.52%)
Fuera de horario: 04:00PM EDT

Accionistas principales

Divisa en USD
Desglose
21.21%% de las acciones que son propiedad de todos los miembros de la gerencia
59.20%% de las acciones que son propiedad de las instituciones
75.14%% de las acciones en circulación que son propiedad de las instituciones
151Número de instituciones que poseen acciones

Accionistas institucionales principales

TenedorAccionesFecha reportadaFuera en %Valor
Vanguard Group Inc8,211,19030 dic 20237.94%15,683,372
Fuller & Thaler Asset Management Inc.6,855,33130 dic 20236.63%13,093,681
Private Management Group, Inc.6,578,79930 mar 20246.36%12,565,505
Bank of America Corporation6,034,34430 dic 20235.83%11,525,596
Lsv Asset Management3,644,70630 mar 20243.52%6,961,388
Madison Avenue Partners, LP3,291,44330 dic 20233.18%6,286,656
Blackrock Inc.1,923,97730 dic 20231.86%3,674,796
Morgan Stanley1,854,15330 dic 20231.79%3,541,432
Acadian Asset Management. LLC1,767,14130 dic 20231.71%3,375,239
AQR Capital Management, LLC1,653,07330 dic 20231.60%3,157,369

Accionistas principales de fondos mutuos

TenedorAccionesFecha reportadaFuera en %Valor
Undiscovered Managers Behavioral Value Fund5,680,02730 dic 20235.49%10,848,851
Vanguard Specialized-Real Estate Index Fund3,351,18330 ene 20243.24%6,400,759
Vanguard Total Stock Market Index Fund2,758,62830 dic 20232.67%5,268,979
Vanguard Extended Market Index Fund1,341,32430 dic 20231.30%2,561,928
DFA Real Estate Securities Portfolio607,55030 ene 20240.59%1,160,420
Fidelity Extended Market Index Fund545,40930 mar 20240.53%1,041,731
Vanguard Specialized-Real Estate II Index Fund522,52730 ene 20240.51%998,026
DFA Investment Dimensions-DFA Global Real Estate Securities Port446,20730 ene 20240.43%852,255
Schwab Strategic Tr-Schwab U.S. Small Cap ETF437,82928 feb 20240.42%836,253
Invesco ETF Tr-Invesco FTSE RAFI US 1500 Small-Mid ETF331,09430 mar 20240.32%632,389