0,00% | % de acciones controlado por personas con información privilegiada |
12,33% | % de acciones controlado por instituciones |
12,33% | % de capital flotante controlado por instituciones |
237 | Número de participaciones de instituciones |
Accionista | Acciones | Fecha de notificación | % fuera | Valor |
---|---|---|---|---|
Blackrock Inc. | 17.294.770 | 30 dic 2023 | 1,18% | 42.026.292 |
Polunin Capital Partners Ltd | 13.302.290 | 30 mar 2024 | 0,91% | 32.324.565 |
Vanguard Group Inc | 10.405.380 | 30 dic 2023 | 0,71% | 25.285.074 |
Schroder Investment Management Group | 8.057.141 | 30 dic 2023 | 0,55% | 19.578.853 |
Mangrove Partners | 7.952.924 | 30 dic 2023 | 0,54% | 19.325.605 |
Bank of America Corporation | 7.535.226 | 30 dic 2023 | 0,51% | 18.310.599 |
TSP Capital Management Group, LLC | 7.312.865 | 30 mar 2024 | 0,50% | 17.770.262 |
State Street Corporation | 5.713.447 | 30 dic 2023 | 0,39% | 13.883.676 |
Renaissance Technologies, LLC | 5.258.601 | 30 dic 2023 | 0,36% | 12.778.400 |
Acadian Asset Management. LLC | 5.067.395 | 30 dic 2023 | 0,35% | 12.313.770 |
Accionista | Acciones | Fecha de notificación | % fuera | Valor |
---|---|---|---|---|
Vanguard International Stock Index-Total Intl Stock Indx | 3.998.236 | 30 ene 2024 | 0,27% | 9.715.713 |
SPDR Portfolio Emerging Markets ETF | 3.755.227 | 28 feb 2024 | 0,26% | 9.125.201 |
Vanguard International Stock Index-Emerging Markets Stk | 3.337.775 | 30 ene 2024 | 0,23% | 8.110.793 |
Hartford/Schroders International Multi-Cap Value Fd | 2.473.316 | 30 ene 2024 | 0,17% | 6.010.158 |
Old Westbury Small & Mid Cap Strategies Fund | 2.430.984 | 30 ene 2024 | 0,17% | 5.907.291 |
iShares Global Infrastructure ETF | 2.127.575 | 30 mar 2024 | 0,15% | 5.170.007 |
Steward Fds-Global Equity Income Fd | 1.679.940 | 30 ene 2024 | 0,11% | 4.082.254 |
Avantis Emerging Markets Equity Fund | 1.173.847 | 30 mar 2024 | 0,08% | 2.852.448 |
Avantis Emerging Markets Equity ETF | 1.154.646 | 28 feb 2024 | 0,08% | 2.805.789 |
Vanguard Intl Equity Index Fds-FTSE All World ex U.S. Index Fund | 754.318 | 30 ene 2024 | 0,05% | 1.832.992 |