4,45% | % de ações retidas por todos os insiders |
39,43% | % de ações retidas por instituições |
41,26% | % de flutuação retida por instituições |
289 | Número de instituições retendo ações |
Titular | Ações | Data Informada | % Saída | Valor |
---|---|---|---|---|
Invesco Ltd. | 29.169.180 | 30 de dez. de 2021 | 9,16% | 1.764.735.390 |
Invesco Ltd. | 29.169.180 | 30 de dez. de 2021 | 9,16% | 1.764.735.390 |
Capital Research Global Investors | 18.064.520 | 30 de dez. de 2021 | 5,67% | 1.092.903.460 |
Capital Research Global Investors | 18.064.520 | 30 de dez. de 2021 | 5,67% | 1.092.903.460 |
FMR, LLC | 15.913.104 | 30 de dez. de 2021 | 5,00% | 962.742.792 |
FMR, LLC | 15.913.104 | 30 de dez. de 2021 | 5,00% | 962.742.792 |
Capital International Investors | 12.401.049 | 30 de dez. de 2021 | 3,89% | 750.263.464 |
Capital International Investors | 12.401.049 | 30 de dez. de 2021 | 3,89% | 750.263.464 |
Sands Capital Management, LLC | 9.209.474 | 30 de dez. de 2021 | 2,89% | 557.173.177 |
Sands Capital Management, LLC | 9.209.474 | 30 de dez. de 2021 | 2,89% | 557.173.177 |
Harding Loevner LLC | 9.075.120 | 30 de dez. de 2021 | 2,85% | 549.044.760 |
Harding Loevner LLC | 9.075.120 | 30 de dez. de 2021 | 2,85% | 549.044.760 |
Capital World Investors | 9.039.716 | 30 de dez. de 2021 | 2,84% | 546.902.818 |
Capital World Investors | 9.039.716 | 30 de dez. de 2021 | 2,84% | 546.902.818 |
Ubs Asset Management Americas Inc | 8.222.515 | 30 de dez. de 2021 | 2,58% | 497.462.157 |
Ubs Asset Management Americas Inc | 8.222.515 | 30 de dez. de 2021 | 2,58% | 497.462.157 |
Schroder Investment Management Group | 8.086.299 | 30 de dez. de 2021 | 2,54% | 489.221.089 |
Schroder Investment Management Group | 8.086.299 | 30 de dez. de 2021 | 2,54% | 489.221.089 |
Goldman Sachs Group Inc | 5.907.826 | 30 de dez. de 2021 | 1,85% | 357.423.473 |
Goldman Sachs Group Inc | 5.907.826 | 30 de dez. de 2021 | 1,85% | 357.423.473 |
Titular | Ações | Data Informada | % Saída | Valor |
---|---|---|---|---|
Invesco Developing Markets Fund | 21.847.533 | 30 de jan. de 2022 | 6,86% | 1.049.992.435 |
Invesco Developing Markets Fund | 21.847.533 | 30 de jan. de 2022 | 6,86% | 1.049.992.435 |
Europacific Growth Fund | 10.822.476 | 30 de dez. de 2021 | 3,40% | 654.759.798 |
Europacific Growth Fund | 10.822.476 | 30 de dez. de 2021 | 3,40% | 654.759.798 |
Growth Fund Of America Inc | 9.341.235 | 27 de fev. de 2022 | 2,93% | 176.922.990 |
Growth Fund Of America Inc | 9.341.235 | 27 de fev. de 2022 | 2,93% | 176.922.990 |
Capital World Growth and Income Fund | 8.608.873 | 27 de fev. de 2022 | 2,70% | 163.052.054 |
Capital World Growth and Income Fund | 8.608.873 | 27 de fev. de 2022 | 2,70% | 163.052.054 |
Fidelity Series Emerging Markets Opportunities Fund | 6.677.608 | 27 de fev. de 2022 | 2,10% | 126.473.895 |
Fidelity Series Emerging Markets Opportunities Fund | 6.677.608 | 27 de fev. de 2022 | 2,10% | 126.473.895 |
New World Fund, Inc. | 5.400.082 | 30 de jan. de 2022 | 1,70% | 259.527.940 |
New World Fund, Inc. | 5.400.082 | 30 de jan. de 2022 | 1,70% | 259.527.940 |
Touchstone Strategic Tr-Touchstone Sands Cap Emerging Markets Grw Fd | 2.942.819 | 30 de dez. de 2021 | 0,92% | 178.040.549 |
Touchstone Strategic Tr-Touchstone Sands Cap Emerging Markets Grw Fd | 2.942.819 | 30 de dez. de 2021 | 0,92% | 178.040.549 |
Fidelity OTC Portfolio | 2.819.094 | 27 de fev. de 2022 | 0,89% | 53.393.640 |
Fidelity OTC Portfolio | 2.819.094 | 27 de fev. de 2022 | 0,89% | 53.393.640 |
iShares Core MSCI Emerging Markets ETF | 2.640.123 | 27 de fev. de 2022 | 0,83% | 50.003.929 |
iShares Core MSCI Emerging Markets ETF | 2.640.123 | 27 de fev. de 2022 | 0,83% | 50.003.929 |
Harding, Loevner Funds, Inc-International Equity Portfolio | 2.609.766 | 30 de jan. de 2022 | 0,82% | 125.425.353 |
Harding, Loevner Funds, Inc-International Equity Portfolio | 2.609.766 | 30 de jan. de 2022 | 0,82% | 125.425.353 |