22,13% | % de acciones controlado por personas con información privilegiada |
64,66% | % de acciones controlado por instituciones |
83,04% | % de capital flotante controlado por instituciones |
595 | Número de participaciones de instituciones |
Accionista | Acciones | Fecha de notificación | % fuera | Valor |
---|---|---|---|---|
Vanguard Group Inc | 17.489.993 | 30 dic 2023 | 8,25% | 760.115.079 |
Blackrock Inc. | 15.752.013 | 30 dic 2023 | 7,43% | 684.582.470 |
Allspring Global Investments Holdings, LLC | 6.113.391 | 30 mar 2024 | 2,88% | 265.687.967 |
First Pacific Advisors, LP | 5.423.750 | 30 dic 2023 | 2,56% | 235.716.170 |
State Street Corporation | 5.233.250 | 30 dic 2023 | 2,47% | 227.437.040 |
Dimensional Fund Advisors LP | 4.405.866 | 30 dic 2023 | 2,08% | 191.478.932 |
Alliancebernstein L.P. | 3.643.775 | 30 dic 2023 | 1,72% | 158.358.458 |
Smith (Donald) & Company Inc. | 3.272.244 | 30 dic 2023 | 1,54% | 142.211.721 |
Barrow, Hanley Mewhinney & Strauss, LLC | 3.023.577 | 30 dic 2023 | 1,43% | 131.404.653 |
Geode Capital Management, LLC | 2.656.000 | 30 dic 2023 | 1,25% | 115.429.757 |
Accionista | Acciones | Fecha de notificación | % fuera | Valor |
---|---|---|---|---|
iShares Core S&P Midcap ETF | 5.274.148 | 30 mar 2024 | 2,49% | 229.214.467 |
FPA Funds Tr-FPA Crescent Fund | 4.697.583 | 30 dic 2023 | 2,22% | 204.156.952 |
Vanguard Total Stock Market Index Fund | 4.637.478 | 30 dic 2023 | 2,19% | 201.544.789 |
Allspring Special Mid Cap Value Fund | 4.214.350 | 28 feb 2024 | 1,99% | 183.155.647 |
Vanguard Small-Cap Index Fund | 3.750.582 | 30 dic 2023 | 1,77% | 163.000.290 |
Vanguard Small Cap Value Index Fund | 2.588.176 | 30 dic 2023 | 1,22% | 112.482.126 |
Vanguard Extended Market Index Fund | 2.481.493 | 30 dic 2023 | 1,17% | 107.845.683 |
Bridge Builder Tr-Bridge Builder Large Cap Value Fd | 1.970.338 | 30 dic 2023 | 0,93% | 85.630.887 |
Vanguard Selected Value Fund | 1.741.278 | 30 ene 2024 | 0,82% | 75.675.940 |
Vanguard Fenway Funds-Equity Income Fund | 1.657.595 | 30 dic 2023 | 0,78% | 72.039.077 |