٦٣٫٧٢٩٩٦ % | Shanghai Automotive Industry (Group) Co., Ltd. | ٧٬٣٢٤٬٠٠٩٬٢٧٩ | 0 | ٣٠/٩/٢٠٢٤ |
٥٫٩١١٩٨ % | China Cosco Shipping Corporation Limited | ٦٧٩٬٤٢٠٬٠٠٠ | 0 | ٣٠/٩/٢٠٢٤ |
٣٫٦٠١٧٢ % | Yuejin Automobiles Group Corporation | ٤١٣٬٩١٩٬١٤١ | 0 | ٣٠/٩/٢٠٢٤ |
٣٫٥٠٩٣٣ % | Shanghai International Group Co., Ltd. | ٤٠٣٬٣٠١٬٦٠٠ | 0 | ٣٠/٩/٢٠٢٤ |
٠٫٨٥٧٨٤ % | Central Huijin Asset Management Co., Ltd. | ٩٨٬٥٨٥٬٠٠٠ | 0 | ٣٠/٩/٢٠٢٤ |
٠٫٨١٣٧٦ % | China Asset Management Co., Ltd. | ٩٣٬٥١٩٬٣٧٧ | ١٩٬٢٠١٬٧١١ | ٣٠/٩/٢٠٢٤ |
٠٫٧٦٧٨٦ % | Huatai-PineBridge Fund Management Co., Ltd. | ٨٨٬٢٤٤٬٢٦١ | ٣٣٬٦٦٦٬٥٥٠ | ٣٠/٩/٢٠٢٤ |
٠٫٧٦٣٢٩ % | Hebei Port Group Co., Ltd. | ٨٧٬٧١٩٬٢٩٨ | 0 | ٣٠/٩/٢٠٢٤ |
٠٫٣٥٥٥٢ % | China Universal Asset Management Co., Ltd. | ٤٠٬٨٥٧٬١٦٠ | ١٬٤٦٠٬٩٩١ | ٣٠/٦/٢٠٢٤ |
٠٫٣٤٧٦٠ % | E Fund Management Co. Ltd. | ٣٩٬٩٤٧٬٣٩٣ | ١٦٬٥٨٦٬٢٧٧ | ٣٠/٦/٢٠٢٤ |
٠٫٢٨٤٩٨ % | Harvest Fund Management Co., Ltd. | ٣٢٬٧٥٠٬٣٠٦ | ٢٢٬٩١٨٬٩٠٠ | ٣٠/٩/٢٠٢٤ |
٠٫١٩٧٧٩ % | GF Fund Management Co., Ltd. | ٢٢٬٧٣٠٬٨٩٢ | ١٢٬٧٠٩ | ٣٠/٦/٢٠٢٤ |
٠٫١٥٥٧٨ % | The Vanguard Group, Inc. | ١٧٬٩٠٢٬٣٩٠ | ١٠٦٬٦٠٠ | ٣١/١/٢٠٢٥ |
٠٫١٤٢٠٣ % | Fullgoal Fund Management Co., Ltd. | ١٦٬٣٢٢٬٨٨٧ | -١٬٩٤٩٬٠٥٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٧٨٨٥ % | BlackRock Institutional Trust Company, N.A. | ٩٬٠٦١٬٧٥٦ | -٢٧٬٤٠٠ | ٣١/١/٢٠٢٥ |
٠٫٠٧٠٦٢ % | HuaAn Fund Management Co., Ltd. | ٨٬١١٦٬١٩٨ | -٤١٩٬٤٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٦٢٢٨ % | INVESCO Great Wall Fund Management Co. Ltd. | ٧٬١٥٧٬١٠٣ | ١٬٧٩٧٬٦٧١ | ٣٠/٦/٢٠٢٤ |
٠٫٠٥٨٤٣ % | Tianhong Asset Management Co., Ltd. | ٦٬٧١٤٬٦٦٢ | ٦١٤٬٤٦٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٥٨٣٤ % | BlackRock Advisors (UK) Limited | ٦٬٧٠٤٬٠٣٨ | -٣٠٬٧٠٠ | ٣١/١/٢٠٢٥ |
٠٫٠٤٤٥٥ % | Guotai Asset Management Co., Ltd. | ٥٬١١٩٬٣٢٩ | -٥٬٠٩٣٬٣٩٤ | ٣٠/٦/٢٠٢٤ |
٠٫٠٤١٠٧ % | Harvest Global Investments Limited | ٤٬٧١٩٬٩٤٣ | -٦٣٢٬٥٠٠ | ٣١/١/٢٠٢٥ |
٠٫٠٣٤٦٢ % | China Merchants Fund Management Co. Ltd. | ٣٬٩٧٩٬٠٣٧ | ٥٥٠٬٩٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٣٣٧٦ % | China Southern Asset Management Co. Ltd. | ٣٬٨٧٩٬٦١٤ | ١٣٨٬١٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٢٧٣١ % | BlackRock Investment Management, LLC | ٣٬١٣٨٬٢٠٠ | -٢٧٤٬٠٠٠ | ٣١/١٠/٢٠٢٤ |
٠٫٠٢٥٦٦ % | China Asset Management (Hong Kong) Limited | ٢٬٩٤٩٬٤٥٩ | ١٥٨٬٤٠٠ | ٣٠/٩/٢٠٢٤ |
٠٫٠٢٥٥٦ % | Dimensional Fund Advisors, L.P. | ٢٬٩٣٦٬٨٧٥ | ٩٠٬٤٠٠ | ٣١/١/٢٠٢٥ |
٠٫٠٢٣٢٩ % | Dacheng Fund Management Co., Ltd. | ٢٬٦٧٦٬١٩٩ | -٢٥١٬٦٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠١٨٦٦ % | Geode Capital Management, L.L.C. | ٢٬١٤٤٬٣٥٧ | 0 | ٣١/١/٢٠٢٥ |
٠٫٠١٤٤٣ % | Galaxy Asset Management Co., Ltd. | ١٬٦٥٧٬٨٨٣ | -٢٬١٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠١٤٤٢ % | BlackRock (Singapore) Limited | ١٬٦٥٧٬٠٢٥ | -٢١٥٬٦٥٢ | ٣١/١/٢٠٢٥ |
٠٫٠١٣٦٣ % | Arrowstreet Capital, Limited Partnership | ١٬٥٦٦٬٢٠٠ | 0 | ٣٠/١١/٢٠٢٤ |
٠٫٠١٣٣٦ % | ICBC Credit Suisse Asset Management Co. Ltd. | ١٬٥٣٥٬١٧٤ | ٢٨٩٬٤٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠١٢٦٧ % | Robeco Hong Kong Limited | ١٬٤٥٥٬٨٠٠ | ١٬٤٥٥٬٨٠٠ | ٣١/١٢/٢٠٢٤ |
٠٫٠١٢٤٤ % | SWS MU Fund Management Co., Ltd. | ١٬٤٢٩٬٤١٥ | ١١٠٬٤٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠١٢٣٨ % | CPIC Fund Management Co., Ltd. | ١٬٤٢٢٬٦٠٠ | ٧٣٣٬٠٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠١١٩٩ % | Penghua Fund Management Co., Ltd. | ١٬٣٧٨٬٠٠٦ | ٣١٢٬٦٩٣ | ٣٠/٦/٢٠٢٤ |
٠٫٠١١٩١ % | AEGON-INDUSTRIAL Fund Management Co., Ltd. | ١٬٣٦٨٬٢٠٠ | ١٠٩٬٤٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠١١٣١ % | Shanghai Orient Securities Capital Investment Co., Ltd. | ١٬٣٠٠٬١٠٠ | ٨٢٩٬٥٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠١٠٦٥ % | Chang Xin Asset Management Co., Ltd. | ١٬٢٢٤٬٣٠٠ | ١٬٢١٤٬٣٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠١٠٠٦ % | Florida State Board of Administration | ١٬١٥٦٬٤٠٠ | ٣٩٥٬٣٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٩٩٣ % | State Street Global Advisors (US) | ١٬١٤١٬٤٦٧ | 0 | ٣١/١/٢٠٢٥ |
٠٫٠٠٩٢٥ % | Research Affiliates, LLC | ١٬٠٦٣٬٥٠٠ | ١٧٧٬٤٠٠ | ٣٠/٩/٢٠٢٤ |
٠٫٠٠٩١٠ % | State Street Global Advisors (UK) Ltd. | ١٬٠٤٥٬٩٥٧ | ٦٨ | ٣١/١/٢٠٢٥ |
٠٫٠٠٨٩٨ % | CCB Principal Asset Management Co., Ltd. | ١٬٠٣١٬٨٢٠ | -٣١٢٬٣٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٨٩١ % | BlackRock Fund Advisors | ١٬٠٢٤٬٥٠٠ | 0 | ٣١/١/٢٠٢٥ |
٠٫٠٠٨٨٥ % | Nuveen LLC | ١٬٠١٧٬٣٢٣ | -١٠٦٬٨٠٠ | ٣١/١٢/٢٠٢٤ |
٠٫٠٠٨٤١ % | AllianceBernstein L.P. | ٩٦٦٬٢٦١ | 0 | ٣١/١٢/٢٠٢٤ |
٠٫٠٠٨٠٣ % | Bosera Asset Management Co., Ltd. | ٩٢٣٬١٢٤ | ٤١٩٬٠٩٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٧٧٠ % | CICC Fund Management Co Ltd. | ٨٨٤٬٧٩٧ | ٦٦٤٬٩٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٧٤٦ % | Taikang Asset Management Co., Ltd. | ٨٥٧٬٣٠٠ | -٢٦٥٬٤٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٧٤٦ % | Western Leadbank Fund Management Co., Ltd. | ٨٥٧٬٢٠٠ | -٦١٩٬٦٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٧٠٢ % | Macquarie Investment Management Global Ltd. | ٨٠٦٬٤٩٨ | -١٢٬٤٦٤ | ٣٠/١١/٢٠٢٤ |
٠٫٠٠٦٩٥ % | China Life AMP Asset Management Co., Ltd | ٧٩٨٬٥٣٧ | ١٣٬٣٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٦٤٩ % | Aviva Investors Global Services Limited | ٧٤٥٬٣٧٣ | ١٥٧٬٧١١ | ٣١/١٢/٢٠٢٤ |
٠٫٠٠٦٢٥ % | Green Fund Management Co., Ltd. | ٧١٨٬٥٠٠ | ١٠٣٬١٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٦٢٣ % | Charles Schwab Investment Management, Inc. | ٧١٥٬٤٠٠ | 0 | ٣١/١/٢٠٢٥ |
٠٫٠٠٦١٩ % | Hwabao WP Fund Management Co., Ltd. | ٧١١٬٦٤٢ | -٣١٬٩٨٧ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٥٩٤ % | CITIC Prudential Fund Management Co., Ltd. | ٦٨٢٬٩٤٦ | -٢٤٢٬٨٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٥٧٧ % | HSBC Global Asset Management (UK) Limited | ٦٦٢٬٨١٢ | -١٬٣٦٩ | ٣١/١٢/٢٠٢٤ |
٠٫٠٠٥٦٩ % | HSBC JinTrust Fund Management Co., Ltd. | ٦٥٤٬٢٥٩ | ٥٥٦٬٠٠٠ | ٣١/١٢/٢٠٢٤ |
٠٫٠٠٥٥٠ % | BlackRock Investment Management (UK) Ltd. | ٦٣١٬٥٠٠ | 0 | ٣١/١٠/٢٠٢٤ |
٠٫٠٠٥٤٥ % | Invesco Capital Management LLC | ٦٢٦٬٤٧٥ | ٤٠٠ | ٣١/١/٢٠٢٥ |
٠٫٠٠٥٣٩ % | BlackRock Asset Management North Asia Limited | ٦١٩٬٠٠٠ | -١٧٬٦٠٠ | ٣٠/٤/٢٠٢٤ |
٠٫٠٠٥٠٩ % | Mirae Asset Global Investments (USA) LLC | ٥٨٤٬٥٠٠ | -٥٬٥٠٠ | ٣١/١/٢٠٢٥ |
٠٫٠٠٥٠٤ % | APG Asset Management N.V. | ٥٧٨٬٩٥٠ | ٥٧٨٬٩٥٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠٠٤٧٨ % | Bank of Communications Schroder Fund Management Co., Ltd. | ٥٤٩٬٠١٦ | ٣٩٧٬٠٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٤٦١ % | DWS Investment GmbH | ٥٢٩٬٤٥٨ | -٢٠٠ | ٣١/١/٢٠٢٥ |
٠٫٠٠٤٣٨ % | Northern Trust Global Investments Limited | ٥٠٣٬٨٩٣ | ٧٢٬٥٠٠ | ٣١/١٢/٢٠٢٤ |
٠٫٠٠٤٣١ % | Wellington Management Company, LLP | ٤٩٥٬٨٠٠ | -١٤٥٬٨٠٠ | ٣١/١٢/٢٠٢٤ |
٠٫٠٠٤٣٠ % | Mirae Asset Global Investments (Hong Kong) Limited | ٤٩٤٬٤٤٢ | -٢٬٧٠٠ | ٣١/٨/٢٠٢٤ |
٠٫٠٠٤٢٩ % | Orient Fund Management Co. Ltd. | ٤٩٢٬٩٠٠ | ٤٥٥٬٦٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٤٢٠ % | Zhong Hai Fund Management Co., Ltd. | ٤٨٣٬٠٠٠ | -٥٬١٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٣٨٤ % | GFund Management Co., Ltd. | ٤٤١٬٤٠٠ | -١٬١٦٨٬٥٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٣٥٠ % | Fubon Asset Management Company Ltd. | ٤٠٢٬٤١٧ | -٢٢٬١٠٠ | ٣٠/١١/٢٠٢٤ |
٠٫٠٠٣٤٣ % | UBS Asset Management (UK) Ltd. | ٣٩٣٬٦٦٨ | 0 | ٣١/١/٢٠٢٥ |
٠٫٠٠٣٣٧ % | UBS Asset Management (Switzerland) | ٣٨٦٬٩٠٠ | 0 | ٣١/١/٢٠٢٥ |
٠٫٠٠٣٢١ % | Wanjia Asset Management Co., Ltd. | ٣٦٨٬٦٨٧ | -٤٬٩٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٣٠٧ % | DWS Investments UK Limited | ٣٥٢٬٥٩٩ | 0 | ٣١/١/٢٠٢٥ |
٠٫٠٠٢٩٦ % | Pictet Asset Management Ltd. | ٣٤٠٬٠٠٠ | 0 | ٣١/١٠/٢٠٢٤ |
٠٫٠٠٢٨٣ % | BOCI-Prudential Asset Management Ltd. | ٣٢٥٬٢٠٠ | 0 | ٣١/٨/٢٠٢٤ |
٠٫٠٠٢٧٦ % | Dimensional Fund Advisors, Ltd. | ٣١٧٬٦٧٣ | 0 | ٣١/١٢/٢٠٢٤ |
٠٫٠٠٢٤٨ % | Legal & General Investment Management Ltd. | ٢٨٥٬٥٠٠ | 0 | ٣١/١٢/٢٠٢٤ |
٠٫٠٠٢٤٨ % | Amundi Asset Management, SAS | ٢٨٥٬٢٧١ | -٨٬١٠٠ | ٣١/١/٢٠٢٥ |
٠٫٠٠٢٤٣ % | Amundi Japan Ltd. | ٢٧٩٬٧٠١ | 0 | ٣١/١/٢٠٢٥ |
٠٫٠٠٢٣٩ % | Huashang Fund Management Co., Ltd. | ٢٧٤٬٧٠٠ | ٣٤٬٨٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٢٢٨ % | HSBC Global Asset Management (Hong Kong) Limited | ٢٦١٬٥٠٠ | ٢٦١٬٥٠٠ | ٣٠/١١/٢٠٢٤ |
٠٫٠٠٢٢٤ % | UBS Fund Management (Switzerland) AG | ٢٥٧٬٩٣٢ | 0 | ٣١/١/٢٠٢٥ |
٠٫٠٠٢١٣ % | Yuanta Securities Investment Trust Co., Ltd. | ٢٤٥٬١٣١ | -٣٬٣٠٠ | ٣٠/١١/٢٠٢٤ |
٠٫٠٠٢١١ % | Franklin Advisers, Inc. | ٢٤٢٬٤٠٠ | ٥٠٬٤٠٠ | ٣١/١/٢٠٢٥ |
٠٫٠٠٢٠٨ % | Jyah Asset Management.Co.,LTD | ٢٣٩٬١٠٠ | ١٠٥٬٨٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠٢٠٤ % | Manulife Fund Management Co., Ltd. | ٢٣٤٬٤٠٠ | ٢٣٤٬٤٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠١٩٢ % | First Seafront Fund Management Co., Ltd. | ٢٢٠٬٤٦٠ | -١٨٦٬٦٤٢ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠١٨٨ % | Yinhua Fund Management Co., Ltd. | ٢١٦٬٥٦٢ | ١٣٬٠٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠١٨٢ % | Zheshang Fund Management Co., Ltd. | ٢٠٩٬٥٠٠ | ٢٠٩٬٥٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠١٨٢ % | Tibet Eastmoney Fund Management Co., Ltd. | ٢٠٩٬٤٠٠ | ١٦٬٣٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠١٧٦ % | Mirae Asset Global Investments Co., Ltd. | ٢٠٢٬٢١٠ | ٢٣٬٢٦٨ | ٣١/١٠/٢٠٢٤ |
٠٫٠٠١٧٣ % | Goldman Sachs Asset Management, L.P. | ١٩٩٬١١٣ | -٢٬٨٩٦ | ٣١/١/٢٠٢٥ |
٠٫٠٠١٧١ % | PICC Asset Management Company Limited | ١٩٦٬٧٠٠ | -٢٤٬٦٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠١٥٦ % | Rongtong Fund Management Co., Ltd. | ١٧٩٬٨٠٠ | -٢٢٬٨٠٠ | ٣٠/٦/٢٠٢٤ |
٠٫٠٠١٣٨ % | Changsheng Fund Management Co., Ltd. | ١٥٩٬١٠٩ | -٢٥٦٬٩٠٠ | ٣٠/٦/٢٠٢٤ |