1,58904 % | GIC Private Limited | 279.683.830 | -847.500 | 28.5.2025 |
1,09992 % | BlackRock Institutional Trust Company, N.A. | 193.596.047 | 19.343.498 | 30.4.2025 |
0,90492 % | The Vanguard Group, Inc. | 159.273.471 | 15.000 | 31.7.2025 |
0,57832 % | DWS Investments UK Limited | 101.789.189 | 85.959.828 | 31.7.2025 |
0,38204 % | Dimensional Fund Advisors, L.P. | 67.242.500 | 330.000 | 31.7.2025 |
0,35431 % | Geode Capital Management, L.L.C. | 62.360.771 | 34.500 | 31.7.2025 |
0,29546 % | BlackRock Asset Management Ireland Limited | 52.004.100 | 5.249.300 | 30.4.2025 |
0,28804 % | BlackRock Advisors (UK) Limited | 50.696.800 | 723.500 | 31.7.2025 |
0,23494 % | JPMorgan Asset Management (Asia Pacific) Limited | 41.350.900 | 7.563.560 | 5.8.2025 |
0,17162 % | T. Rowe Price International Ltd | 30.206.100 | 30.075.000 | 30.6.2025 |
0,16107 % | California Public Employees' Retirement System | 28.349.728 | -2.465.800 | 30.6.2024 |
0,15979 % | HSBC Global Asset Management (UK) Limited | 28.123.781 | -9.066 | 30.6.2025 |
0,15141 % | Orient Securities Asset Management Company Limited | 26.650.200 | 3.686.400 | 31.12.2024 |
0,12371 % | HSBC Global Asset Management (Hong Kong) Limited | 21.773.400 | 2.709.800 | 31.10.2024 |
0,10827 % | American Century Investment Management, Inc. | 19.056.900 | 480.000 | 31.7.2025 |
0,10366 % | California State Teachers Retirement System | 18.244.200 | 17.747.000 | 30.6.2024 |
0,10208 % | Charles Schwab Investment Management, Inc. | 17.966.353 | 0 | 31.7.2025 |
0,08988 % | First Sentier Investors | 15.819.823 | 613.000 | 30.6.2025 |
0,08707 % | M&G Investment Management Ltd. | 15.324.700 | 560.000 | 30.4.2025 |
0,08611 % | Jupiter Asset Management Ltd. | 15.156.500 | 4.843.800 | 30.6.2025 |
0,08320 % | Stewart Investors | 14.643.902 | 0 | 30.6.2025 |
0,08042 % | RREEF America L.L.C. | 14.154.200 | -14.500 | 30.6.2025 |
0,07700 % | Pacer Advisors, Inc. | 13.552.880 | 1.809.924 | 30.6.2025 |
0,07432 % | E Fund Management Co. Ltd. | 13.081.800 | 12.934.800 | 31.12.2024 |
0,07319 % | BlackRock Investment Management (UK) Ltd. | 12.882.457 | 2.410.433 | 30.4.2025 |
0,07060 % | Dimensional Fund Advisors, Ltd. | 12.425.800 | 40.500 | 31.7.2025 |
0,05948 % | Principal Global Investors (Hong Kong) Limited | 10.469.800 | 10.469.800 | 31.12.2024 |
0,05912 % | State Street Global Advisors (US) | 10.404.824 | 82.000 | 31.7.2025 |
0,05702 % | Bank of Communications Schroder Fund Management Co., Ltd. | 10.036.600 | 4.935.200 | 31.12.2024 |
0,05631 % | Mirae Asset Global Investments (USA) LLC | 9.910.490 | 1.716.000 | 31.7.2025 |
0,05502 % | Aviva Investors Global Services Limited | 9.683.655 | 192.307 | 30.6.2025 |
0,04781 % | Storebrand Kapitalforvaltning AS | 8.415.600 | 72.000 | 30.6.2025 |
0,04762 % | Nuveen LLC | 8.382.068 | 0 | 30.6.2025 |
0,04487 % | Essence Fund Management Co., Ltd. | 7.897.400 | 6.330.800 | 31.12.2024 |
0,04288 % | CPP Investment Board | 7.547.400 | -10.270.600 | 31.3.2024 |
0,04241 % | China Southern Asset Management Co. Ltd. | 7.465.000 | 7.159.600 | 31.12.2024 |
0,04217 % | BlackRock (Singapore) Limited | 7.421.648 | 496.732 | 31.7.2025 |
0,03991 % | Mackenzie Investments | 7.025.188 | 29.903 | 30.6.2025 |
0,03898 % | First Trust Advisors L.P. | 6.860.638 | 253.189 | 31.7.2025 |
0,03859 % | Fidelity Management & Research Company LLC | 6.792.516 | -576.263 | 30.6.2025 |
0,03789 % | PGGM Vermogensbeheer B.V. | 6.669.269 | 266.073 | 31.3.2025 |
0,03635 % | Legal & General Investment Management Ltd. | 6.397.030 | 0 | 31.7.2025 |
0,03435 % | Fullgoal Fund Management Co., Ltd. | 6.045.459 | 1.633.659 | 31.12.2024 |
0,03389 % | State Street Global Advisors (UK) Ltd. | 5.965.168 | 46.000 | 31.7.2025 |
0,03358 % | Principal Global Investors (Equity) | 5.911.243 | 11.000 | 30.6.2025 |
0,03263 % | APG Asset Management N.V. | 5.743.711 | -3.499.608 | 31.12.2024 |
0,03112 % | Research Affiliates, LLC | 5.476.800 | -962.800 | 31.3.2025 |
0,02975 % | Northern Trust Investments, Inc. | 5.236.700 | 219.500 | 31.7.2025 |
0,02906 % | FundLogic SAS | 5.115.500 | 5.115.500 | 30.6.2025 |
0,02887 % | Bessemer Trust Company, N.A. (US) | 5.082.046 | 0 | 30.4.2025 |
0,02649 % | Northern Trust Global Investments Limited | 4.661.957 | 51.757 | 30.6.2025 |
0,02642 % | UBS Asset Management (UK) Ltd. | 4.649.299 | 605.500 | 31.7.2025 |
0,02622 % | Lazard Asset Management, L.L.C. | 4.614.641 | 40.000 | 31.7.2025 |
0,02529 % | Mediolanum International Funds Limited | 4.450.800 | -443.200 | 31.3.2025 |
0,02519 % | An Zhong (AZ) Investment Management Hong Kong Ltd. | 4.433.000 | 0 | 30.4.2025 |
0,02483 % | AEGON-INDUSTRIAL Fund Management Co., Ltd. | 4.369.876 | 3.223.276 | 31.12.2024 |
0,02465 % | China Merchants Fund Management Co. Ltd. | 4.338.600 | -2.916.400 | 31.12.2024 |
0,02218 % | BNP Paribas Asset Management USA, Inc. | 3.904.100 | 0 | 30.6.2025 |
0,02204 % | JP Morgan Asset Management | 3.878.400 | -9.000 | 31.7.2025 |
0,02196 % | DWS Investment GmbH | 3.865.556 | 53.000 | 31.7.2025 |
0,02163 % | Franklin Advisers, Inc. | 3.806.600 | 0 | 30.6.2025 |
0,02104 % | Harvest Fund Management Co., Ltd. | 3.703.200 | -2.099.800 | 31.12.2024 |
0,02074 % | Schroder Investment Management North America Inc. | 3.649.700 | -621.500 | 30.6.2025 |
0,01968 % | JPMorgan Asset Management (China) Company Limited. | 3.463.600 | 2.280.400 | 31.12.2024 |
0,01951 % | Mercer Global Investments Management Ltd | 3.434.100 | 34.500 | 31.7.2025 |
0,01947 % | Allspring Global Investments, LLC | 3.426.200 | 72.000 | 30.6.2025 |
0,01909 % | Amundi Japan Ltd. | 3.359.200 | 0 | 31.7.2025 |
0,01757 % | Manulife Investment Management (North America) Limited | 3.092.885 | 202.000 | 30.6.2025 |
0,01690 % | UBS Asset Management (Switzerland) | 2.973.800 | 0 | 30.4.2025 |
0,01676 % | Invesco Capital Management LLC | 2.949.779 | 26.500 | 31.7.2025 |
0,01636 % | T. Rowe Price Singapore Private Ltd. | 2.879.000 | 2.879.000 | 30.6.2025 |
0,01635 % | Macquarie Investment Management | 2.877.622 | 4.509 | 31.7.2025 |
0,01624 % | AXA-SPDB Investment Managers Co., Ltd. | 2.858.600 | 2.580.200 | 31.12.2024 |
0,01566 % | BOCI-Prudential Asset Management Ltd. | 2.756.800 | 69.000 | 30.9.2024 |
0,01535 % | JPMorgan Asset Management U.K. Limited | 2.701.700 | 0 | 30.6.2025 |
0,01420 % | Thrivent Asset Management, LLC | 2.499.100 | -1.103.000 | 31.5.2025 |
0,01417 % | Van Lanschot Kempen Investment Management NV | 2.494.100 | 1.133.000 | 30.6.2025 |
0,01394 % | BEA Union Investment Management Limited | 2.452.870 | 746.070 | 30.6.2024 |
0,01286 % | Florida State Board of Administration | 2.263.600 | -117.000 | 31.3.2025 |
0,01258 % | Wellington Management Company, LLP | 2.213.868 | -304.201 | 30.6.2025 |
0,01188 % | UBS Fund Management (Switzerland) AG | 2.090.400 | 0 | 30.6.2025 |
0,01090 % | Goldman Sachs Asset Management, L.P. | 1.918.196 | 0 | 31.7.2025 |
0,01069 % | Swedbank Robur Fonder AB | 1.881.400 | 0 | 30.6.2025 |
0,00967 % | KLP Kapitalforvaltning AS | 1.701.500 | 0 | 30.6.2025 |
0,00947 % | Amundi Asset Management, SAS | 1.666.400 | 6.500 | 31.7.2025 |
0,00940 % | Mirae Asset Global Investments (Hong Kong) Limited | 1.654.674 | -463.644 | 31.5.2025 |
0,00939 % | BlackRock Financial Management, Inc. | 1.652.700 | -4.000 | 30.4.2025 |
0,00927 % | Morgan Stanley Investment Management Inc. (US) | 1.631.700 | -129.000 | 31.5.2025 |
0,00896 % | Russell Investments Limited | 1.577.800 | -78.000 | 30.6.2025 |
0,00862 % | Sophus Capital | 1.517.000 | -737.600 | 31.3.2025 |
0,00849 % | China Asset Management Co., Ltd. | 1.493.600 | 20.000 | 31.12.2024 |
0,00838 % | BlackRock Investment Management, LLC | 1.475.200 | 1.118.800 | 31.3.2025 |
0,00806 % | Vanguard Investments Australia Ltd. | 1.419.296 | 0 | 30.6.2025 |
0,00796 % | abrdn Investments Limited | 1.401.800 | 72.500 | 30.6.2025 |
0,00761 % | Boston Advisors, LLC | 1.340.000 | 0 | 30.6.2025 |
0,00754 % | Penghua Fund Management Co., Ltd. | 1.326.400 | 457.800 | 31.12.2024 |
0,00745 % | Allianz Global Investors GmbH | 1.311.500 | 453.900 | 30.6.2025 |
0,00730 % | Pictet Asset Management Ltd. | 1.285.000 | -2.000 | 30.4.2025 |
0,00723 % | Debeka Asset Management GmbH | 1.272.700 | 0 | 31.5.2025 |
0,00689 % | Eurizon Capital S.A. | 1.213.306 | 132.649 | 30.6.2025 |