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Stella International Holdings Ltd (PK)

Stella International Holdings Ltd (PK) (SLNLY)

18.50
0.00
(0.00%)
終了 6月4日 5:00AM

Stella International Holdings Ltd (PK) (SLNLY) 所有権分布

機関
17.54%
インサイダー
10.40%
一般およびその他
72.05%

Stella International Holdings Ltd (PK) (SLNLY) 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
Cordwalner Bonaventure Inc.機関173,508,59320.60%US$ 3.21B2025-12-31
Mr. Jeh-Chung Chiangインサイダー53,078,9186.30%US$ 981.96M2026-04-27
BlackRock, Inc.機関31,231,0003.71%US$ 577.77M2026-04-30
Mr. Li-Ming Chenインサイダー28,769,2273.42%US$ 532.23M2025-12-31
Vanguard Capital Management, LLC機関17,143,2512.04%US$ 317.15M2026-04-30
Pacific Asset Management LLP機関12,637,2201.50%US$ 233.79M2025-06-30
Pacific Capital Funds LLC - Pacific North Of South Em All Cap Equity Fund LLC機関11,726,7201.39%US$ 216.94M2024-12-31
Pacific Capital Funds LLC機関11,726,7201.39%US$ 216.94M2024-12-31
Dimensional Fund Advisors LP機関10,448,1541.24%US$ 193.29M2026-04-30
Norges Bank Investment Management機関10,206,1501.21%US$ 188.81M2025-12-31
JP Morgan Asset Management機関5,244,0000.62%US$ 97.01M2026-04-30
Vanguard Fiduciary Trust Company機関5,051,7490.60%US$ 93.46M2026-04-30
Invesco Hong Kong Limited機関4,975,5000.59%US$ 92.05M2025-08-31
Mr. Lo-Jen Chiインサイダー4,150,5000.49%US$ 76.78M2026-04-23
Cobas Asset Management, SGIIC, SA機関3,014,8440.36%US$ 55.77M2025-06-30
E Fund Management Co., Ltd.機関2,854,0000.34%US$ 52.80M2025-06-30
Fullgoal Fund Management Co. Ltd.機関2,600,0000.31%US$ 48.10M2025-06-30
HSBC Global Asset Management (Hong Kong) Limited機関2,414,5000.29%US$ 44.67M2025-09-30
Schroder Investment Management (Singapore) Ltd.機関2,361,5000.28%US$ 43.69M2025-06-30
Invesco Great Wall Fund Management Co. Ltd機関2,330,5000.28%US$ 43.11M2025-12-31
Charles Schwab Investment Management, Inc.機関1,999,5230.24%US$ 36.99M2026-04-30
Allianz Asset Management GmbH機関1,969,5000.23%US$ 36.44M2025-03-31
Schroder Investment Management North America Inc.機関1,630,8550.19%US$ 30.17M2026-01-31
Fidelity International Ltd機関1,583,5000.19%US$ 29.29M2025-10-31
Schroder Investment Management Limited機関1,364,0000.16%US$ 25.23M2025-06-30