Mercados españoles cerrados

Kimberly-Clark Corporation (KMB.MX)

Mexico - Mexico Precio demorado. Divisa en MXN
Añadir a la lista de favoritos
2.502,73+14,20 (+0,57%)
Al cierre: 09:15AM CST

Accionistas principales

Divisa en MXN
Desglose
0,17%% de acciones controlado por personas con información privilegiada
79,51%% de acciones controlado por instituciones
79,64%% de capital flotante controlado por instituciones
2.135Número de participaciones de instituciones

Principales accionistas institucionales

AccionistaAccionesFecha de notificación% fueraValor
Blackrock Inc.32.329.43030 mar 20249,60%80.911.833.712
Vanguard Group Inc30.208.59730 mar 20248,97%75.603.961.379
State Street Corporation17.913.58930 mar 20245,32%44.832.876.248
Charles Schwab Investment Management, Inc.9.606.08630 mar 20242,85%24.041.439.427
Geode Capital Management, LLC7.273.96230 mar 20242,16%18.204.762.774
Price (T.Rowe) Associates Inc5.893.14630 mar 20241,75%14.748.953.173
Massachusetts Financial Services Co.5.873.56830 mar 20241,74%14.699.954.725
American Century Companies Inc5.146.91130 mar 20241,53%12.881.328.466
Morgan Stanley4.971.68230 mar 20241,48%12.442.777.594
Invesco Ltd.4.784.32230 mar 20241,42%11.973.866.105

Principales accionistas de fondos de inversión

AccionistaAccionesFecha de notificación% fueraValor
Vanguard Total Stock Market Index Fund10.573.23730 mar 20243,14%26.461.957.230
Vanguard 500 Index Fund8.489.63130 mar 20242,52%21.247.254.026
Schwab Strategic Tr-Schwab U.S. Dividend Equity ETF5.388.29928 feb 20241,60%13.485.457.451
Fidelity 500 Index Fund4.101.01830 may 20241,22%10.263.740.699
SPDR S&P 500 ETF Trust4.063.01230 may 20241,21%10.168.621.943
iShares Core S&P 500 ETF3.502.96430 may 20241,04%8.766.973.023
MFS Series Trust I-MFS Value Fund3.352.88828 feb 20241,00%8.391.373.318
Vanguard Index-Value Index Fund2.795.70330 mar 20240,83%6.996.889.714
SPDR (R) Ser Tr- SPDR (R) S&P (R) Dividend ETF2.554.75930 may 20240,76%6.393.871.942
Vanguard Institutional Index Fund-Institutional Index Fund2.215.55730 mar 20240,66%5.544.940.927