ADVFN ADVFN

Hot Features

Icon for default Inscrivez-vous gratuitement pour obtenir des cotations en temps réel, des graphiques interactifs, un flux d'options en direct et plus encore.
Mpc Container Ships AS (PK)

Mpc Container Ships AS (PK) (MPZZF)

2,68
0,035
( 1,32% )
Mis à jour : 17:18:28

Mpc Container Ships AS (PK) (MPZZF) Répartition de la Propriété

Institutions
19.21%
Initiés
0.00%
Public et Autres
80.79%

Mpc Container Ships AS (PK) (MPZZF) Propriété

Actionnaire Type Détenues (Réel) % en Circulation Valeur Marchande Date de Reporte
Mitterbauer Beteiligungs AGInstitution73 994 97716,68%US$ 195,72M2025-07-04
MPC Münchmeyer Petersen Capital AGInstitution15 265 0793,44%US$ 40,38M2025-07-04
Dimensional Fund Advisors LPInstitution14 562 6523,28%US$ 38,52M2026-04-30
American Century Investment Management IncInstitution12 172 1842,74%US$ 32,20M2026-04-30
Vanguard Capital Management, LLCInstitution11 076 8602,50%US$ 29,30M2026-04-30
BlackRock, Inc.Institution6 504 1191,47%US$ 17,20M2026-05-31
KLP Kapitalforvaltning ASInstitution4 997 1531,13%US$ 13,22M2026-04-30
Vanguard Fiduciary Trust CompanyInstitution3 091 1100,70%US$ 8,18M2026-04-30
Deutsche Asset & Wealth ManagementInstitution1 962 7910,44%US$ 5,19M2025-12-31
Charles Schwab Investment Management, Inc.Institution1 945 1030,44%US$ 5,14M2026-04-30
Causeway Capital Management LLCInstitution1 546 6830,35%US$ 4,09M2026-03-31
Mackenzie Financial CorporationInstitution1 439 7750,32%US$ 3,81M2025-09-30
Global X Management Company (UK) LimitedInstitution1 231 4890,28%US$ 3,26M2026-05-01
State Street Global Advisors, Inc.Institution1 133 7540,26%US$ 3,00M2026-03-31
CI Global Asset ManagementInstitution874 5220,20%US$ 2,31M2026-05-29
SEI Investments CompanyInstitution780 1250,18%US$ 2,06M2026-04-30
Jupiter Fund Management PlcInstitution717 2510,16%US$ 1,90M2025-10-31
Bessemer Investment Management LLCInstitution587 0790,13%US$ 1,55M2026-01-30
Allianz Asset Management GmbHInstitution474 1000,11%US$ 1,25M2025-09-30
JP Morgan Asset ManagementInstitution455 6660,10%US$ 1,21M2025-06-30