ADVFN ADVFN

Hot Features

Icon for alerts 登録してリアルタイムのアラート、カスタムポートフォリオ、市場の動きを入手してください。
Koninklijke Ahold Delhaize NV

Koninklijke Ahold Delhaize NV (AD)

35.43
0.30
(0.85%)
終了 6月27日 12:30AM

Koninklijke Ahold Delhaize NV (AD) 所有権分布

機関
47.83%
インサイダー
0.16%
一般およびその他
52.01%

Koninklijke Ahold Delhaize NV (AD) 所有権

株主 タイプ 保有数(実際) 発行済株式の% 時価総額 ポジション日付
BlackRock, Inc.機関46,147,9325.24%1.62B €2026-05-31
Fidelity International Ltd機関23,922,8952.72%840.41M €2025-12-31
Norges Bank Investment Management機関21,778,6832.47%765.09M €2025-12-31
JPMorgan Chase & Co.機関19,653,6482.23%690.43M €2026-04-17
Amundi Asset Management SAS機関18,086,6652.06%635.38M €2026-06-02
Deutsche Asset & Wealth Management機関16,626,3361.89%584.08M €2025-04-10
GQG Partners LLC機関15,980,0041.82%561.38M €2026-03-31
Dimensional Fund Advisors LP機関14,190,3131.61%498.51M €2026-05-29
JP Morgan Asset Management機関9,860,9801.12%346.42M €2026-06-01
Vanguard Fiduciary Trust Company機関7,940,5650.90%278.95M €2026-05-31
Schroder Investment Management Limited機関5,276,4320.60%185.36M €2026-01-15
Deka Investment GmbH機関5,045,7940.57%177.26M €2025-12-31
Janus Henderson Group plc機関4,685,6560.53%164.61M €2026-02-28
American Century Investment Management Inc機関4,405,5440.50%154.77M €2026-05-29
Vanguard Asset Management, Limited機関4,356,6860.50%153.05M €2026-04-30
Nordea Investment Management, AB機関4,288,8180.49%150.67M €2025-12-31
Assenagon Asset Management S.A.機関3,914,1430.44%137.50M €2026-05-31
M&G Investment Management Limited機関3,833,2970.44%134.66M €2026-03-31
Columbia Management Investment Advisers, LLC機関3,348,2700.38%117.62M €2026-06-01
Mawer Investment Management Ltd.機関3,339,8080.38%117.33M €2025-12-31
Boston Partners Global Investors, Inc.機関2,658,9320.30%93.41M €2026-02-28
SEI Investments Company機関2,626,0300.30%92.25M €2026-05-31
La Caisse de dépôt et placement du Québec機関2,507,1520.28%88.08M €2024-12-31
Impax Asset Management Group Plc機関2,457,3370.28%86.33M €2026-03-31
Aberdeen Group Plc機関2,454,3620.28%86.22M €2025-11-30
Liontrust Asset Management PLC機関2,209,8360.25%77.63M €2025-10-31