27,94% | % de acciones controlado por personas con información privilegiada |
50,97% | % de acciones controlado por instituciones |
70,73% | % de capital flotante controlado por instituciones |
554 | Número de participaciones de instituciones |
Accionista | Acciones | Fecha de notificación | % fuera | Valor |
---|---|---|---|---|
Capital Research Global Investors | 121.416.869 | 31 mar 2022 | 6,18% | 1.724.119.539 |
FMR, LLC | 108.688.286 | 31 mar 2022 | 5,53% | 1.543.373.661 |
Royal Bank of Canada | 52.047.494 | 31 mar 2022 | 2,65% | 739.074.414 |
FIL LTD | 48.522.398 | 31 mar 2022 | 2,47% | 689.018.051 |
Soroban Capital Partners LP | 48.463.822 | 31 mar 2022 | 2,46% | 688.186.272 |
Vanguard Group, Inc. (The) | 40.242.035 | 31 mar 2022 | 2,05% | 571.436.897 |
TD Asset Management, Inc | 37.767.355 | 31 mar 2022 | 1,92% | 536.296.441 |
Capital World Investors | 28.481.746 | 31 mar 2022 | 1,45% | 404.440.793 |
Mackenzie Financial Corporation | 23.039.719 | 31 mar 2022 | 1,17% | 327.164.009 |
Boston Partners | 20.566.778 | 31 dic 2021 | 1,05% | 219.735.456 |
Accionista | Acciones | Fecha de notificación | % fuera | Valor |
---|---|---|---|---|
Growth Fund Of America Inc | 113.431.627 | 28 feb 2022 | 5,77% | 1.589.630.820 |
Europacific Growth Fund | 64.824.645 | 31 dic 2021 | 3,30% | 692.586.507 |
Vanguard International Stock Index-Total Intl Stock Indx | 16.408.663 | 31 ene 2022 | 0,83% | 210.227.790 |
American Funds Insurance Ser-Growth Fund | 14.694.800 | 31 dic 2021 | 0,75% | 156.999.243 |
Fidelity Series Large Cap Stock Fund | 11.122.281 | 28 feb 2022 | 0,57% | 155.867.645 |
Vanguard Tax Managed Fund-Vanguard Developed Markets Index Fund | 8.803.439 | 31 dic 2021 | 0,45% | 94.055.942 |
Fidelity Series Stock Selector Large Cap Value Fund | 7.993.047 | 28 feb 2022 | 0,41% | 112.014.560 |
Fidelity Growth & Income Portfolio | 6.118.673 | 28 feb 2022 | 0,31% | 85.747.083 |
Fidelity Series Intrinsic Opportunities Fund | 6.000.000 | 28 feb 2022 | 0,31% | 84.084.000 |
Fidelity Strategic Advisers Fidelity U.S. Total Stock Fund | 5.947.254 | 28 feb 2022 | 0,30% | 83.344.817 |