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.
Sun Art Retail GP Ltd (PK)

Sun Art Retail GP Ltd (PK) (SURRF)

0,19726
0,00
( 0,00% )
Mis à jour : 13:18:26

Sun Art Retail GP Ltd (PK) (SURRF) Répartition de la Propriété

Institutions
6.51%
Initiés
0.00%
Public et Autres
93.49%

Sun Art Retail GP Ltd (PK) (SURRF) Propriété

Actionnaire Type Détenues (Réel) % en Circulation Valeur Marchande Date de Reporte
DCP Capital Partners II, L.P.Institution7 551 524 75679,15%US$ 1,49B2025-09-18
DCP InvestmentsInstitution7 551 524 75679,15%US$ 1,49B2025-09-18
M&G Investment Management LimitedInstitution136 602 3051,43%US$ 26,95M2026-02-28
Mirae Asset Global Investments Co., Ltd.Institution94 506 2280,99%US$ 18,64M2026-05-01
Invesco Hong Kong LimitedInstitution77 167 0000,81%US$ 15,22M2025-08-31
Vanguard Capital Management, LLCInstitution62 112 8280,65%US$ 12,25M2026-04-30
Allspring Global Investments, LLCInstitution51 918 8890,54%US$ 10,24M2025-06-30
Dimensional Fund Advisors LPInstitution43 532 2110,46%US$ 8,59M2026-04-30
BlackRock, Inc.Institution43 226 5000,45%US$ 8,53M2026-05-31
China Merchants Fund Management Company Ltd.Institution22 572 5000,24%US$ 4,45M2025-06-30
Norges Bank Investment ManagementInstitution20 044 3970,21%US$ 3,95M2025-12-31
Vanguard Fiduciary Trust CompanyInstitution16 430 6720,17%US$ 3,24M2026-04-30
American Century Investment Management IncInstitution10 198 5000,11%US$ 2,01M2026-04-30
Invesco Great Wall Fund Management Co. LtdInstitution5 580 5000,06%US$ 1,10M2025-12-31
State Street Global Advisors, Inc.Institution5 037 5000,05%US$ 993,70k2026-04-30
Fullgoal Fund Management Co. Ltd.Institution4 265 0000,04%US$ 841,31k2025-06-30
China Southern Asset Management Co., Ltd.Institution3 521 5000,04%US$ 694,65k2025-06-30
China Southern SH-HK-SZ Core Advantage Mixed FundInstitution3 521 5000,04%US$ 694,65k2025-06-30
Vanguard Asset Management, LimitedInstitution2 869 7250,03%US$ 566,08k2026-03-31