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The Toronto-Dominion Bank (TD)

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59.38+0.27 (+0.46%)
Al cierre: 04:00PM EDT
58.87 -0.51 (-0.86%)
Fuera de horario: 07:54PM EDT

Accionistas principales

Divisa en USD
Desglose
0.11%% de las acciones que son propiedad de todos los miembros de la gerencia
58.64%% de las acciones que son propiedad de las instituciones
58.70%% de las acciones en circulación que son propiedad de las instituciones
1,084Número de instituciones que poseen acciones

Accionistas institucionales principales

TenedorAccionesFecha reportadaFuera en %Valor
Royal Bank of Canada151,324,80530 dic 20238.58%8,985,667,082
Bank of Montreal/Can/107,604,63230 dic 20236.10%6,389,563,163
Vanguard Group Inc73,810,62730 dic 20234.19%4,382,875,110
TD Asset Management, Inc46,469,55330 dic 20232.64%2,759,362,106
Cibc World Markets, Inc.45,787,77330 dic 20232.60%2,718,878,009
Bank Of Nova Scotia /33,335,46330 dic 20231.89%1,979,459,828
Mackenzie Financial Corporation27,833,03930 dic 20231.58%1,652,725,885
National Bank of Canada/FI27,918,18630 dic 20231.58%1,657,781,914
FIL LTD26,082,83130 dic 20231.48%1,548,798,532
1832 Asset Management L.P.24,569,25330 dic 20231.39%1,458,922,269

Accionistas principales de fondos mutuos

TenedorAccionesFecha reportadaFuera en %Valor
Vanguard International Stock Index-Total Intl Stock Indx24,829,53630 ene 20241.41%1,474,377,874
Vanguard Tax Managed Fund-Vanguard Developed Markets Index Fund14,797,39430 dic 20230.84%878,669,271
JP Morgan ETF Tr-BetaBuilders Canada ETF6,323,55430 ene 20240.36%375,492,643
Fidelity Series Canada Fund5,989,23028 feb 20240.34%355,640,483
Vanguard Intl Equity Index Fds-FTSE All World ex U.S. Index Fund3,649,28830 ene 20240.21%216,694,725
Vanguard International Growth Fund3,092,81929 nov 20230.18%183,651,595
Schwab Strategic Tr-Schwab International Equity ETF3,180,68728 feb 20240.18%188,869,197
MFS Institutional International Equity Fund2,933,72230 dic 20230.17%174,204,415
Fidelity Series Global Ex U.S. Index Fund3,000,10628 feb 20240.17%178,146,297
Capital Income Builder, Inc.2,876,61130 mar 20240.16%170,813,164