Mercados españoles cerrados

MRC Global Inc. (MRC)

NYSE - NYSE Precio demorado. Divisa en USD
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11,99+0,46 (+3,99%)
Al cierre: 04:00PM EST
12,00 +0,01 (+0,08%)
Después del cierre: 06:25PM EST

Accionistas principales

Divisa en USD
Desglose
2,11%% de acciones controlado por personas con información privilegiada
96,91%% de acciones controlado por instituciones
98,99%% de capital flotante controlado por instituciones
245Número de participaciones de instituciones

Principales accionistas institucionales

AccionistaAccionesFecha de notificación% fueraValor
Vanguard Group Inc9.003.97530 dic 202310,67%107.957.658
Pzena Investment Management Llc7.001.85930 dic 20238,30%83.952.287
Blackrock Inc.6.560.97730 dic 20237,77%78.666.112
Frontier Capital Management Company LLC6.005.20130 dic 20237,12%72.002.358
Fuller & Thaler Asset Management Inc.4.002.49930 dic 20234,74%47.989.962
Engine Capital Management, LP3.866.88630 dic 20234,58%46.363.962
Dimensional Fund Advisors LP3.327.33730 dic 20233,94%39.894.769
Wellington Management Group, LLP3.002.12630 dic 20233,56%35.995.490
American Century Companies Inc2.251.11630 dic 20232,67%26.990.880
State Street Corporation1.869.02930 dic 20232,21%22.409.657

Principales accionistas de fondos de inversión

AccionistaAccionesFecha de notificación% fueraValor
Undiscovered Managers Behavioral Value Fund3.287.28130 dic 20233,90%39.414.498
Vanguard Total Stock Market Index Fund2.579.17929 sept 20233,06%30.924.355
iShares Russell 2000 ETF2.223.07230 dic 20232,63%26.654.632
Vanguard Small-Cap Index Fund2.050.03829 sept 20232,43%24.579.955
American Century Small Cap Growth Fund1.997.91530 dic 20232,37%23.955.000
Vanguard Small Cap Value Index Fund1.429.19829 sept 20231,69%17.136.083
Vanguard Extended Market Index Fund1.196.86829 sept 20231,42%14.350.447
Global X Fds-Global X U.S. Infrastructure Development ETF1.135.15829 nov 20231,35%13.610.544
Fidelity Small Cap Index Fund825.23629 nov 20230,98%9.894.579
Schwab Strategic Tr-Schwab Fundamental U.S. Small Company Index ETF656.64329 nov 20230,78%7.873.149