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T H K Company Ltd (PK)

T H K Company Ltd (PK) (THKLF)

31.39
0.00
(0.00%)
終了 6月26日 5:00AM

T H K Company Ltd (PK) (THKLF) 所有権分布

機関
61.70%
インサイダー
5.46%
一般およびその他
32.84%

T H K Company Ltd (PK) (THKLF) 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
Wellington Management Group LLP機関6,905,7086.16%US$ 216.77M2025-12-31
Lazard Asset Management LLC機関6,390,1005.70%US$ 200.59M2026-03-13
Sumitomo Mitsui DS Asset Management Company, Limited機関5,664,6005.06%US$ 177.81M2026-05-29
Nomura Asset Management Co., Ltd.機関5,329,6004.76%US$ 167.30M2026-05-29
Fidelity International Ltd機関4,288,1003.83%US$ 134.60M2025-12-31
Sumitomo Mitsui Trust Asset Management Co., Ltd.機関4,269,5553.81%US$ 134.02M2026-02-27
Asset Management One Co., Ltd.機関3,840,9003.43%US$ 120.57M2025-12-31
Oasis Management Company Ltd.機関3,555,0003.17%US$ 111.59M2025-12-31
Daiwa Asset Management Co., Ltd.機関2,269,7002.03%US$ 71.25M2026-04-15
Amova Asset Management Co., Ltd.機関1,827,3001.63%US$ 57.36M2026-02-27
Mizuho Financial Group, Inc.機関1,600,0001.43%US$ 50.22M2025-12-31
Oasis Japan Strategic Fund Ltd.機関1,563,0001.40%US$ 49.06M2025-12-31
Mizuho Bank, Ltd, Retirement Benefit Trust機関1,207,0001.08%US$ 37.89M2025-12-31
Hartford Funds Management Company, LLC機関1,077,2430.96%US$ 33.81M2026-04-30
Mitsubishi UFJ Asset Management Co., Ltd.機関902,5000.81%US$ 28.33M2026-04-07
Dimensional Fund Advisors LP機関763,6040.68%US$ 23.97M2026-05-29
Sumitomo Mitsui Financial Group, Inc.機関728,9030.65%US$ 22.88M2026-05-29
Nomura Holdings, Inc.機関727,9650.65%US$ 22.85M2026-05-29
Exchange Traded Concepts, LLC機関676,1000.60%US$ 21.22M2026-05-31
SMDAM Pension Japan Stock Mother Fund機関479,1000.43%US$ 15.04M2026-01-27
SBI Okasan Asset Management Co., Ltd.機関453,0000.40%US$ 14.22M2026-01-20
Morant Wright Management Limited機関450,0000.40%US$ 14.13M2025-10-31
Grantham Mayo Van Otterloo & Co. LLC機関387,0000.35%US$ 12.15M2026-02-28
AXA Investment Managers S.A.機関347,4000.31%US$ 10.90M2025-09-30
Meiji Yasuda Asset Management Company Ltd.機関336,2000.30%US$ 10.55M2025-11-25
Payden & Rygel機関282,7990.25%US$ 8.88M2025-09-30

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