Accionistas principales
Divisa en EURDesglose
0,55% | % de acciones controlado por personas con información privilegiada |
99,53% | % de acciones controlado por instituciones |
100,08% | % de capital flotante controlado por instituciones |
1.155 | Número de participaciones de instituciones |
Principales accionistas institucionales
Accionista | Acciones | Fecha de notificación | % fuera | Valor |
---|
Vanguard Group Inc | 47.240.775 | 31 mar 2024 | 15,40% | 3.802.882.387 |
Blackrock Inc. | 28.516.046 | 31 mar 2024 | 9,29% | 2.295.541.703 |
Harris Associates L.P. | 15.159.666 | 31 mar 2024 | 4,94% | 1.220.353.113 |
State Street Corporation | 13.092.362 | 31 mar 2024 | 4,27% | 1.053.935.141 |
Generation Investment Management LLP | 7.908.280 | 31 mar 2024 | 2,58% | 636.616.540 |
Geode Capital Management, LLC | 7.380.229 | 31 mar 2024 | 2,41% | 594.108.434 |
Principal Financial Group, Inc. | 6.936.745 | 31 mar 2024 | 2,26% | 558.407.972 |
Allspring Global Investments Holdings, LLC | 6.033.928 | 31 mar 2024 | 1,97% | 485.731.204 |
FMR, LLC | 5.891.778 | 31 mar 2024 | 1,92% | 474.288.129 |
Invesco Ltd. | 5.517.460 | 31 mar 2024 | 1,80% | 444.155.530 |
Principales accionistas de fondos de inversión
Accionista | Acciones | Fecha de notificación | % fuera | Valor |
---|
Vanguard Specialized-Real Estate Index Fund | 12.513.108 | 31 ene 2024 | 4,08% | 1.007.305.194 |
Vanguard Total Stock Market Index Fund | 9.076.350 | 31 dic 2023 | 2,96% | 730.646.175 |
Vanguard 500 Index Fund | 7.445.310 | 31 dic 2023 | 2,43% | 599.347.455 |
Vanguard Mid-Cap Index Fund | 6.489.233 | 31 dic 2023 | 2,11% | 522.383.256 |
Oakmark Select Fund | 5.282.352 | 31 dic 2023 | 1,72% | 425.229.336 |
Principal Mid Cap Fund | 4.909.111 | 31 ene 2024 | 1,60% | 395.183.435 |
Oakmark Fund | 4.766.000 | 31 dic 2023 | 1,55% | 383.663.000 |
Allspring Special Mid Cap Value Fund | 4.542.800 | 31 mar 2024 | 1,48% | 365.695.400 |
SPDR S&P 500 ETF Trust | 3.588.895 | 31 mar 2024 | 1,17% | 288.906.047 |
Fidelity 500 Index Fund | 3.594.034 | 31 mar 2024 | 1,17% | 289.319.737 |