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15,21
0,03
( 0,20% )
Mis à jour : 12:30:53

NewPrinces Spa (NWL) Répartition de la Propriété

Institutions
9.44%
Initiés
0.00%
Public et Autres
90.56%

NewPrinces Spa (NWL) Propriété

Actionnaire Type Détenues (Réel) % en Circulation Valeur Marchande Date de Reporte
Newlat Group S.A.Institution28 604 21466,84%434,21M €2025-10-28
Helikon Long Short Equity Fund Master ICAVInstitution4 187 0109,78%63,56M €2025-06-30
Helikon Investments LimitedInstitution1 299 5993,04%19,73M €2025-10-28
Renta 4 Gestora S.G.I.I.C., SAInstitution881 5682,06%13,38M €2025-06-30
BlackRock, Inc.Institution268 2930,63%4,07M €2026-05-31
American Century Investment Management IncInstitution238 7340,56%3,62M €2026-05-29
Eurizon Capital SGR SpAInstitution223 2060,52%3,39M €2025-06-30
KBC Asset Management NVInstitution136 4690,32%2,07M €2025-12-31
Dimensional Fund Advisors LPInstitution135 7650,32%2,06M €2026-05-29
Fideuram - Intesa Sanpaolo Private Banking Asset Management S.G.R. S.p.A.Institution117 4770,27%1,78M €2025-08-31
Azimut Capital Management Sgr SpAInstitution112 4760,26%1,71M €2025-06-30
Amundi Asset Management SASInstitution74 9440,18%1,14M €2026-02-27
Scotia Wealth ManagementInstitution54 7750,13%831,48k €2025-12-31
Scotia Wealth Quantitative Global Small Cap Equity PoolInstitution54 7750,13%831,48k €2025-12-31
Ersel Asset Management Sgr S.p.A.Institution54 5000,13%827,31k €2025-06-30
Medivalor, A.V. Agencia de Valores, S.A.Institution47 6160,11%722,81k €2025-06-30
Lupus Alpha Asset Management GmbHInstitution45 0000,11%683,10k €2025-06-30
RAM Active Investments S.A.Institution44 1200,10%669,74k €2025-06-30
Deutsche Asset & Wealth ManagementInstitution42 2470,10%641,31k €2025-12-31
UBS Wealth Management, S.G.I.I.C. S.A.Institution41 0460,10%623,08k €2025-06-30
ZEST S.A.Institution35 0000,08%531,30k €2025-09-30
UBS Asset Management AGInstitution33 0510,08%501,71k €2025-06-30
Union Asset Management Holding AGInstitution26 7800,06%406,52k €2025-09-30
State Street Global Advisors, Inc.Institution21 9570,05%333,31k €2026-04-30
Mediolanum Gestione Fondi SGR PAInstitution20 0000,05%303,60k €2025-06-30

Dernières Valeurs Consultées

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