٤٫٧٥٤٥٧ % | Shanghai Sitico Asset Management Co., Ltd. | ١٬٣٩٥٬٥٧١٬٠٢٥ | 0 | ٣٠/٩/٢٠٢٣ |
٣٫٢٢١٤٦ % | Shanghai Guoxin Investment & Development Co., Ltd. | ٩٤٥٬٥٦٨٬٩٩٠ | 0 | ٣٠/٩/٢٠٢٣ |
٢١٫٥٧٠١٨ % | Shanghai International Group Co., Ltd. | ٦٬٣٣١٬٣٢٢٬٦٧١ | 0 | ٣٠/٩/٢٠٢٣ |
١٫٣١٩٠٧ % | Central Huijin Asset Management Co., Ltd. | ٣٨٧٬١٧٤٬٧٠٨ | 0 | ٣٠/٩/٢٠٢٣ |
١٩٫٨٠٤٦٤ % | Funde Sino Life Insurance Co., Ltd | ٥٬٨١٣٬٠٩٨٬٢٤٧ | 0 | ٣٠/٩/٢٠٢٣ |
١٨٫١٧٥٤٤ % | China Mobile Communications Group Guangdong Co., Ltd. | ٥٬٣٣٤٬٨٩٢٬٨٢٤ | 0 | ٣٠/٩/٢٠٢٣ |
٠٫٢٩٩٠٨ % | Huatai-PineBridge Fund Management Co., Ltd. | ٨٧٬٧٨٥٬٦٧٩ | ٤٣٬٧٨٢٬٤٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٢١٦٥٨ % | The Vanguard Group, Inc. | ٦٣٬٥٧٠٬٦٥٨ | -٨١٧٬٨٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٢٠٤١٠ % | China Universal Asset Management Co., Ltd. | ٥٩٬٩٠٦٬٧٥٩ | -٣١٥٬٩٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫١٤٩١٣ % | Fullgoal Fund Management Co., Ltd. | ٤٣٬٧٧١٬٥٠٢ | -٤٠٬٤٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫١٣٧٨٤ % | Hwabao WP Fund Management Co., Ltd. | ٤٠٬٤٥٩٬٥٨٢ | -١٠٣٬٨٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫١٢٨٩٩ % | Tianhong Asset Management Co., Ltd. | ٣٧٬٨٥٩٬٩٩١ | -٣٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫١٢٢٦٤ % | BlackRock Institutional Trust Company, N.A. | ٣٥٬٩٩٦٬٦١٦ | -٣٩٤٬٧٠٠ | ٣١/٣/٢٠٢٤ |
٠٫١٢٠٠٠ % | China Asset Management Co., Ltd. | ٣٥٬٢٢٢٬٨٣٦ | ١١٬٣١٥٬٣٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫١١٠٧١ % | BlackRock (Singapore) Limited | ٣٢٬٤٩٦٬٢٠٨ | ٨٨٠٬٨٠٠ | ٣١/٣/٢٠٢٤ |
٠٫١٠٨٠٥ % | E Fund Management Co. Ltd. | ٣١٬٧١٤٬٢٦١ | -٥٦٬٥٠٠ | ٢٩/٢/٢٠٢٤ |
٠٫١٠١٤١ % | China Southern Asset Management Co. Ltd. | ٢٩٬٧٦٦٬٩٠٠ | ١٣٥٬٩٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٨٢٤٩ % | BlackRock Advisors (UK) Limited | ٢٤٬٢١١٬٤٣٤ | ٦٥٢٬٨٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٧٣٣١ % | HuaAn Fund Management Co., Ltd. | ٢١٬٥١٦٬٩٣٥ | -٤٨٩٬١٢٨ | ٣٠/٦/٢٠٢٣ |
٠٫٠٦٦٩٤ % | Harvest Fund Management Co., Ltd. | ١٩٬٦٤٧٬٦٣٦ | 0 | ٢٩/٢/٢٠٢٤ |
٠٫٠٥٠٨٣ % | Guotai Asset Management Co., Ltd. | ١٤٬٩١٨٬٥٠٨ | -١٬٤٤٩٬٦٥٤ | ٣٠/٦/٢٠٢٣ |
٠٫٠٤٦٤٣ % | Dimensional Fund Advisors, L.P. | ١٣٬٦٢٨٬٢٦١ | 0 | ٣١/٣/٢٠٢٤ |
٠٫٠٤٠٤٨ % | Charles Schwab Investment Management, Inc. | ١١٬٨٨٢٬٢٠٠ | -١٧٣٬١٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٣٨٠٦ % | China Merchants Fund Management Co. Ltd. | ١١٬١٧٢٬٧٨٤ | ١٧٬١٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠٣٢٨٨ % | Harvest Global Investments Limited | ٩٬٦٥٢٬٣١٤ | 0 | ٣١/٣/٢٠٢٤ |
٠٫٠٢٨٠٠ % | China Asset Management (Hong Kong) Limited | ٨٬٢١٨٬٤٢٢ | ٤١٢٬٤٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٢٦٨٢ % | Geode Capital Management, L.L.C. | ٧٬٨٧٣٬٣٠٩ | ٢٨٠٬١٠٠ | ٢٩/٢/٢٠٢٤ |
٠٫٠٢٦٤٩ % | CPP Investment Board | ٧٬٧٧٥٬٠٠٠ | ٧٬٧٧٥٬٠٠٠ | ٣١/٣/٢٠٢٣ |
٠٫٠٢٤٤٣ % | DWS Investments UK Limited | ٧٬١٦٩٬٣٧٣ | ٣٨٬٢٢٤ | ٣١/٣/٢٠٢٤ |
٠٫٠١٨١٦ % | GF Fund Management Co., Ltd. | ٥٬٣٣١٬٠٦٦ | -٩٩٠٬٩٠٠ | ٣٠/٦/٢٠٢٣ |
٠٫٠١٧٤٧ % | Penghua Fund Management Co., Ltd. | ٥٬١٢٩٬٢٤٨ | -١٦٧٬٧٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠١٦٨٤ % | Dacheng Fund Management Co., Ltd. | ٤٬٩٤٣٬١٣٨ | -٦٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠١٤٧٦ % | Galaxy Asset Management Co., Ltd. | ٤٬٣٣٢٬٣٤٦ | -١١٬٦٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠١٣٣٨ % | Bosera Asset Management Co., Ltd. | ٣٬٩٢٦٬٢٦٨ | -٤٬٣٢٤٬٠٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠١٢٠٨ % | AEGON-INDUSTRIAL Fund Management Co., Ltd. | ٣٬٥٤٦٬٨٥٣ | ٧٧٠٬٠٠٠ | ٣٠/٦/٢٠٢٣ |
٠٫٠١١٠٤ % | State Street Global Advisors (US) | ٣٬٢٣٩٬٣١١ | -٩٠٬٥٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠١١٠٣ % | ICBC Credit Suisse Asset Management Co. Ltd. | ٣٬٢٣٦٬٢١٧ | -٨٦٥٬٨٠٠ | ٣٠/٦/٢٠٢٣ |
٠٫٠١٠٩٤ % | State Street Global Advisors (UK) Ltd. | ٣٬٢١١٬٩٥٦ | ٧ | ٣١/٣/٢٠٢٤ |
٠٫٠١٠٧١ % | Yinhua Fund Management Co., Ltd. | ٣٬١٤٤٬٨٣٤ | -٨٤٬٠٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠١٠٤٢ % | California State Teachers Retirement System | ٣٬٠٥٩٬٨٤٣ | ٣٢٢٬٨٤٣ | ٣٠/٦/٢٠٢٣ |
٠٫٠١٠٤٢ % | SWS MU Fund Management Co., Ltd. | ٣٬٠٥٧٬١٣١ | ١٬٣٩٠٬٤٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠١٠٣٢ % | Northern Trust Global Investments Limited | ٣٬٠٢٧٬٧٨٩ | ٢٣٧٬٢٠٠ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٩٦٦ % | Invesco Capital Management LLC | ٢٬٨٣٦٬٢٤٧ | ١٬٨٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٠٩٤١ % | Aviva Investors Global Services Limited | ٢٬٧٦٠٬٦١٣ | -١٠٣٬٩٣٤ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٩٠١ % | Public Mutual Berhad | ٢٬٦٤٣٬٥٣٠ | ٤٣٩٬٥٣٠ | ٣١/٥/٢٠٢٣ |
٠٫٠٠٨٣٣ % | Nuveen LLC | ٢٬٤٤٤٬٣٦٤ | 0 | ٣١/٣/٢٠٢٤ |
٠٫٠٠٧٨٠ % | PGGM Vermogensbeheer B.V. | ٢٬٢٨٩٬٧٦٨ | ١٧٬٠٤٥ | ٣١/٧/٢٠٢٣ |
٠٫٠٠٧٦١ % | Taikang Asset Management Co., Ltd. | ٢٬٢٣٤٬٤٧٢ | -٣٦٬٣٠٠ | ٣٠/٦/٢٠٢٣ |
٠٫٠٠٧٦٠ % | Wanjia Asset Management Co., Ltd. | ٢٬٢٣١٬٩٥٠ | -٢٢٬٤٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠٠٧٥٢ % | Cathay Securities Investment Trust Co., Ltd. | ٢٬٢٠٦٬٣٩٧ | 0 | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٧٤١ % | Bosera Asset Management (International) Co., Limited | ٢٬١٧٦٬١٤٦ | -١٧٬٩٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٠٧٤١ % | APG Asset Management N.V. | ٢٬١٧٣٬٧٨٨ | ٢٬١٧٣٬٧٨٨ | ٣٠/٩/٢٠٢٣ |
٠٫٠٠٧٣٤ % | INVESCO Great Wall Fund Management Co. Ltd. | ٢٬١٥٣٬٠٠٠ | ٢٩٬٧٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠٠٦٧٩ % | HSBC Global Asset Management (UK) Limited | ١٬٩٩٣٬٧٦٧ | -٩٨٬٢٠٠ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٦٥٤ % | China Life AMP Asset Management Co., Ltd | ١٬٩١٨٬٣٩٨ | ١٦٦٬٧٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠٠٦٥١ % | Amundi Asset Management, SAS | ١٬٩١٢٬٠٨٠ | ٨٣٬١٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٠٦٣٥ % | Amundi Japan Ltd. | ١٬٨٦٢٬٦٤٠ | -١١٬٦٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٠٦٢٢ % | UBS Asset Management (UK) Ltd. | ١٬٨٢٤٬٥٧٥ | ٧٬٦٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٠٦٠١ % | Orient Securities Asset Management Company Limited | ١٬٧٦٣٬٧٠٠ | ١٬٠٥٨٬٩٠٠ | ٣٠/٦/٢٠٢٣ |
٠٫٠٠٥٨٢ % | BlackRock Investment Management (UK) Ltd. | ١٬٧٠٧٬١٦٨ | -٤٩٬٠٠٠ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٥٠٩ % | OLZ AG | ١٬٤٩٣٬٨٥٠ | ٣٠٬٤٠٠ | ٣١/١٠/٢٠٢٣ |
٠٫٠٠٤٧٧ % | Dimensional Fund Advisors, Ltd. | ١٬٤٠١٬٢٤٦ | ٧٬٢٠٠ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٤٥٩ % | Pictet Asset Management Ltd. | ١٬٣٤٧٬٧٠٠ | -٧٤٬٩٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠٠٤٣٤ % | DWS Investment GmbH | ١٬٢٧٣٬٢٣٩ | -٥٨٬٢٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٠٤٢٣ % | Fubon Asset Management Company Ltd. | ١٬٢٤٢٬٥٤٣ | -١١٣٬٧٠٠ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٤١٩ % | UBS Asset Management (Switzerland) | ١٬٢٢٩٬٦٠٠ | 0 | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٣٩٤ % | Credit Suisse Funds AG | ١٬١٥٥٬٣٥٣ | -١٠٨٬٣٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٠٣٨١ % | MLC Asset Management | ١٬١١٧٬١٤١ | -١٤١٬٥٣٠ | ٣٠/١١/٢٠٢٣ |
٠٫٠٠٣٧١ % | Legal & General Investment Management Ltd. | ١٬٠٨٩٬٠٣٣ | 0 | ٣١/٣/٢٠٢٤ |
٠٫٠٠٣٦٥ % | Mercer Global Investments Management Ltd | ١٬٠٧٢٬٣٠٠ | 0 | ٣١/٣/٢٠٢٤ |
٠٫٠٠٣٦١ % | Florida State Board of Administration | ١٬٠٦٠٬٥٩١ | -٧٩٩٬٥٧٧ | ٣٠/٩/٢٠٢٢ |
٠٫٠٠٣٤١ % | Goldman Sachs Asset Management, L.P. | ١٬٠٠١٬٩٩٩ | -٢٨٬٩٣٨ | ٣١/٣/٢٠٢٤ |
٠٫٠٠٣٤٠ % | BOCI-Prudential Asset Management Ltd. | ٩٩٦٬٨٠٤ | ٨٬٢٠٠ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٣١١ % | SinoPac Securities Investment Trust Co., Ltd. | ٩١٣٬٧٩٨ | ٢٬٠٢٦ | ٣١/١٢/٢٠٢٣ |
٠٫٠٠٣٠٢ % | CCB Principal Asset Management Co., Ltd. | ٨٨٧٬٦٦٩ | -١٥٬٢٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠٠٣٠٢ % | Truvalue Asset Management Co., Ltd. | ٨٨٦٬٩٠٠ | ٨٢٤٬٧٠٠ | ٣٠/٦/٢٠٢٣ |
٠٫٠٠٢٨٦ % | Fideuram Asset Management (Ireland) dac | ٨٣٨٬١٢٨ | -٩٬٩٠٠ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٢٨٤ % | Desjardins Global Asset Management | ٨٣٣٬٠٠٠ | -١٧٬١٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠٠٢٨١ % | PICC Asset Management Company Limited | ٨٢٦٬١١٦ | ٢٣١٬٤٣٠ | ٣٠/٦/٢٠٢٣ |
٠٫٠٠٢٦٣ % | SEB Investment Management AB | ٧٧٠٬٧٦٢ | -٧٤٤ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٢٤٧ % | Mirae Asset Global Investments Co., Ltd. | ٧٢٥٬٥٠٠ | ٣٬٠٨١ | ٣١/١/٢٠٢٤ |
٠٫٠٠٢٣٣ % | Zürcher Kantonalbank (Asset Management) | ٦٨٤٬٤٠٢ | 0 | ٢٩/٢/٢٠٢٤ |
٠٫٠٠٢٠٦ % | JX Asset Management Co., Ltd. | ٦٠٦٬٠٦٣ | ٢٩٬٢٠٠ | ٣٠/٦/٢٠٢٣ |
٠٫٠٠٢٠٤ % | Changjiang Securities (Shanghai) Asset Mgmt. Co., Ltd. | ٦٠٠٬٠٠٠ | -٤٤٥٬٠٠٠ | ٣٠/٦/٢٠٢٣ |
٠٫٠٠٢٠٤ % | First Seafront Fund Management Co., Ltd. | ٥٩٨٬٨٥٠ | -٢٬٠٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠٠١٩٥ % | Prescient Investment Management (Pty) Ltd. | ٥٧١٬٣٠٠ | -١٥٨٬٩٠٠ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠١٨٦ % | BMO Asset Management Inc. | ٥٤٦٬٨٤٤ | 0 | ٣١/٣/٢٠٢٤ |
٠٫٠٠١٨١ % | Goldstate Capital Fund Management Co., Ltd. | ٥٣١٬٧٠٠ | 0 | ٣٠/٦/٢٠٢٣ |
٠٫٠٠١٧٠ % | Vanguard Investments Australia Ltd. | ٤٩٨٬٤٠٨ | ٢٥٣ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠١٦٢ % | CPIC Fund Management Co., Ltd. | ٤٧٦٬٣٥٢ | -٢٣٩٬٢٠٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠٠١٦٠ % | Mirae Asset Global Investments (Hong Kong) Limited | ٤٦٩٬٠٥١ | ٣٥٧٬٢٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٠١٥٧ % | Franklin Advisers, Inc. | ٤٦٢٬٠٠٠ | ٩٢٬٤٠٠ | ٣١/٣/٢٠٢٤ |
٠٫٠٠١٥٤ % | Premia Partners Company Limited | ٤٥٢٬٣٠١ | ١٦٤٬١٣٣ | ٣١/٣/٢٠٢٤ |
٠٫٠٠١٤٨ % | KLP Fondsforvaltning AS | ٤٣٤٬٩٤٨ | 0 | ٢٩/٢/٢٠٢٤ |
٠٫٠٠١٤٨ % | Ping An Fund Management Company Limited | ٤٣٤٬٢٠٠ | ٢١١٬٦٠٠ | ٣٠/٦/٢٠٢٣ |
٠٫٠٠١٤٧ % | DFA Australia Ltd. | ٤٣٠٬٦٤٧ | -٦٣٠ | ٣١/١٢/٢٠٢٣ |
٠٫٠٠١٤٣ % | BNP Paribas Asset Management France SAS | ٤١٨٬٣٠٠ | ٢٢٢٬٦٠٠ | ٢٩/٢/٢٠٢٤ |
٠٫٠٠١٤٢ % | Northern Trust Investments, Inc. | ٤١٨٬١٩٢ | 0 | ٣١/٣/٢٠٢٤ |
٠٫٠٠١٣٨ % | CITIC Prudential Fund Management Co., Ltd. | ٤٠٦٬١٠١ | -٧٤٬١٠٠ | ٣٠/٦/٢٠٢٣ |
٠٫٠٠١٣٦ % | Pan (Wei Dong) | ٤٠٠٬٠٠٠ | 0 | ٣١/١٢/٢٠٢٢ |