6.58% | % de las acciones que son propiedad de todos los miembros de la gerencia |
102.11% | % de las acciones que son propiedad de las instituciones |
109.30% | % de las acciones en circulación que son propiedad de las instituciones |
686 | Número de instituciones que poseen acciones |
Tenedor | Acciones | Fecha reportada | Fuera en % | Valor |
---|---|---|---|---|
Blackrock Inc. | 7,773,131 | 30 mar 2024 | 13.91% | 1,336,512,163 |
Vanguard Group Inc | 5,100,013 | 30 mar 2024 | 9.13% | 876,896,247 |
Price (T.Rowe) Associates Inc | 3,568,316 | 30 mar 2024 | 6.39% | 613,536,261 |
FMR, LLC | 2,257,789 | 30 mar 2024 | 4.04% | 388,204,246 |
State Street Corporation | 1,758,212 | 30 mar 2024 | 3.15% | 302,306,975 |
Macquarie Group Limited | 1,464,602 | 30 mar 2024 | 2.62% | 251,823,671 |
Sands Capital Management, LLC | 1,432,737 | 30 mar 2024 | 2.56% | 246,344,803 |
Invesco Ltd. | 1,242,743 | 30 mar 2024 | 2.22% | 213,677,234 |
Brown Capital Management, LLC | 1,154,635 | 30 mar 2024 | 2.07% | 198,527,944 |
Bank Of New York Mellon Corporation | 1,132,491 | 30 mar 2024 | 2.03% | 194,720,505 |
Tenedor | Acciones | Fecha reportada | Fuera en % | Valor |
---|---|---|---|---|
Price (T.Rowe) New Horizons Fund | 2,461,373 | 30 dic 2023 | 4.41% | 423,208,479 |
Vanguard Total Stock Market Index Fund | 1,658,782 | 30 dic 2023 | 2.97% | 285,210,981 |
iShares Core S&P Midcap ETF | 1,615,445 | 30 mar 2024 | 2.89% | 277,759,617 |
Vanguard Small-Cap Index Fund | 1,350,414 | 30 dic 2023 | 2.42% | 232,190,186 |
Blackrock Funds-Mid-Cap Growth Equity Portfolio | 1,070,574 | 28 feb 2024 | 1.92% | 184,074,496 |
Brown Capital Management Small Company Fund | 881,399 | 30 dic 2023 | 1.58% | 151,547,746 |
Vanguard Extended Market Index Fund | 768,418 | 30 dic 2023 | 1.38% | 132,121,792 |
Vanguard Small-Cap Growth Index Fund | 753,327 | 30 dic 2023 | 1.35% | 129,527,046 |
Delaware Ivy Mid Cap Growth Fund | 701,002 | 30 dic 2023 | 1.25% | 120,530,285 |
Advisors Inner Circle Fund II-Champlain Mid Cap Fund | 460,000 | 30 dic 2023 | 0.82% | 79,092,401 |