5,39% | % de acciones controlado por personas con información privilegiada |
78,83% | % de acciones controlado por instituciones |
83,33% | % de capital flotante controlado por instituciones |
2.466 | Número de participaciones de instituciones |
Accionista | Acciones | Fecha de notificación | % fuera | Valor |
---|---|---|---|---|
Vanguard Group Inc | 31.149.801 | 30 dic 2023 | 8,19% | 10.137.079.511 |
Blackrock Inc. | 24.925.176 | 30 dic 2023 | 6,55% | 8.111.399.843 |
Greenleaf Trust | 18.488.307 | 30 dic 2023 | 4,86% | 6.016.649.611 |
State Street Corporation | 14.265.872 | 30 dic 2023 | 3,75% | 4.642.542.620 |
Price (T.Rowe) Associates Inc | 12.541.845 | 30 dic 2023 | 3,30% | 4.081.492.526 |
Wellington Management Group, LLP | 12.162.759 | 30 dic 2023 | 3,20% | 3.958.126.572 |
Capital Research Global Investors | 10.205.488 | 30 dic 2023 | 2,68% | 3.321.171.885 |
JP Morgan Chase & Company | 7.838.092 | 30 dic 2023 | 2,06% | 2.550.750.222 |
Geode Capital Management, LLC | 6.389.143 | 30 dic 2023 | 1,68% | 2.079.218.759 |
Bank Of New York Mellon Corporation | 6.007.982 | 30 dic 2023 | 1,58% | 1.955.177.538 |
Accionista | Acciones | Fecha de notificación | % fuera | Valor |
---|---|---|---|---|
Vanguard Total Stock Market Index Fund | 10.738.183 | 30 dic 2023 | 2,82% | 3.494.526.815 |
Vanguard 500 Index Fund | 8.259.978 | 30 dic 2023 | 2,17% | 2.688.044.580 |
Vanguard Specialized-Dividend Growth Fund | 5.943.045 | 30 ene 2024 | 1,56% | 1.934.045.090 |
Fidelity 500 Index Fund | 4.055.063 | 28 feb 2024 | 1,07% | 1.319.639.122 |
SPDR S&P 500 ETF Trust | 3.966.820 | 28 feb 2024 | 1,04% | 1.290.922.203 |
iShares Core S&P 500 ETF | 3.517.542 | 28 feb 2024 | 0,92% | 1.144.713.667 |
Franklin Managed Trust - Rising Dividends Fund | 3.291.974 | 30 dic 2023 | 0,87% | 1.071.307.074 |
Vanguard Growth Index Fund | 3.134.085 | 30 dic 2023 | 0,82% | 1.019.925.258 |
Vanguard Specialized-Health Care Fund | 2.706.854 | 30 ene 2024 | 0,71% | 880.891.477 |
Select Sector SPDR Fund-Health Care | 2.560.139 | 28 feb 2024 | 0,67% | 833.146.016 |