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举牌

主动或被动持股超过5%,则被强制要求举牌

类别分布主动占比 24%
主动 13D 94被动 13G 299
AP
Allen Dominic Paul
个人
被动
13GREARare Earths Americas, Inc.· 6.5%· 07/23 21:08
申报依据 豁免投资者
RI
Robinhood Markets, Inc.
公司
被动
13G/ARVIRobinhood Ventures Fund I· 48.98%(前52.18%)· 07/23 20:44
申报依据 豁免投资者
DL
Decisive Point Group, LLC8
其他 · 合伙
被动
13GSTDNStandard Nuclear, Inc.· 17.83%· 07/23 18:41
申报依据 被动投资者(<20%)
联合申报Decisive Point Group, LLC 17.83% · Decisive Point - Standard Nuclear I, LLC 3.89% · Decisive Point - Standard Nuclear II, LLC 1.64% · Decisive Point - Standard Nuclear III, LLC 1.5% · Decisive Point - Standard Nuclear IV, LLC 0.34% · Decisive Point - Standard Nuclear V, LLC 0.86% · Decisive Point Ventures II Master Fund, L.P. 4.97% · Decisive Point Ventures Fund II GP, LLC 13.2%展开 ▾
Decisive Point Group, LLC其他17.83%26,588,810
Decisive Point - Standard Nuclear I, LLC其他3.89%5,800,000
Decisive Point - Standard Nuclear II, LLC其他1.64%2,451,678
Decisive Point - Standard Nuclear III, LLC其他1.5%2,242,330
Decisive Point - Standard Nuclear IV, LLC其他0.34%505,478
Decisive Point - Standard Nuclear V, LLC其他0.86%1,275,496
Decisive Point Ventures II Master Fund, L.P.合伙4.97%7,411,828
Decisive Point Ventures Fund II GP, LLC其他13.2%19,686,810
EL
Esousa Group Holdings LLC2
其他 · 个人
被动
13GBURUNUBURU, INC.· 9.9%· 07/23 18:04
申报依据 被动投资者(<20%)
联合申报Esousa Group Holdings LLC 9.9% · Michael Wachs 9.9%展开 ▾
Esousa Group Holdings LLC其他9.9%45,339,650
Michael Wachs个人9.9%45,339,650
ML
Millennium Management LLC3
其他 · 个人
已降至5%下被动
13G/ACABACabaletta Bio, Inc.· 1.3%· 07/23 17:27
申报依据 被动投资者(<20%)
联合申报Millennium Management LLC 1.3% · Millennium Group Management LLC 1.3% · Israel A. Englander 1.3%展开 ▾
Millennium Management LLC其他1.3%2,068,491
Millennium Group Management LLC其他1.3%2,068,491
Israel A. Englander个人1.3%2,068,491
FA
Feldman Assaf3
个人 · 其他
被动
13G/ARSKDRISKIFIED LTD.· 12.2%(前20%)· 07/23 17:02
申报依据 豁免投资者
联合申报Feldman Assaf 12.2% · Sundance NYC Holdings LLC 6.5% · Maria Feldman 12.2%展开 ▾
Feldman Assaf个人12.2%12,363,228
Sundance NYC Holdings LLC其他6.5%6,379,100
Maria Feldman个人12.2%12,291,296
GE
Gal Eido
个人
被动
13G/ARSKDRISKIFIED LTD.· 13.7%(前20%)· 07/23 16:44
申报依据 豁免投资者
BP
BURTON PARTNERSHIP L P3
其他
已降至5%下被动
13GHVTHaverty Furniture Companies, Inc.· 4.4%· 07/23 16:06
申报依据 被动投资者(<20%)
联合申报BURTON PARTNERSHIP L P 4.4% · Donald W. Burton Revocable Trust of 2018, General Partner 4.4% · Campbell T. Burton, Trustee of General Partner 4.4%展开 ▾
BURTON PARTNERSHIP L P其他4.4%628,255
Donald W. Burton Revocable Trust of 2018, General Partner其他4.4%628,255
Campbell T. Burton, Trustee of General Partner其他4.4%628,255
DP
D. E. Shaw & Co., L.P.4
投资顾问 · 其他 · 个人
被动
13G/ACSIQCanadian Solar Inc.· 8%(前6.4%)· 07/23 16:05
申报依据 被动投资者(<20%)
联合申报D. E. Shaw & Co., L.P. 8% · D. E. Shaw & Co., L.L.C. 7.8% · D. E. Shaw Valence Portfolios, L.L.C. 5.1% · David E. Shaw 8%展开 ▾
D. E. Shaw & Co., L.P.投资顾问8%5,529,197
D. E. Shaw & Co., L.L.C.其他7.8%5,383,050
D. E. Shaw Valence Portfolios, L.L.C.其他5.1%3,488,520
David E. Shaw个人8%5,529,197
LL
Leeam S. Lowin
个人
被动
13GMBIMBIA INC.· 6.5%· 07/23 16:05
申报依据 豁免投资者
PL
Perceptive Advisors LLC3
投资顾问 · 个人 · 公司
被动
13GPCSCFreenome, Inc.· 10.1%· 07/23 16:00
申报依据 被动投资者(<20%)
联合申报Perceptive Advisors LLC 10.1% · Joseph Edelman 10.1% · Perceptive Life Sciences Master Fund, Ltd. 10.1%展开 ▾
Perceptive Advisors LLC投资顾问10.1%10,871,847
Joseph Edelman个人10.1%10,871,847
Perceptive Life Sciences Master Fund, Ltd.公司10.1%10,871,847
FL
Forager Capital Management, LLC4
投资顾问 · 合伙 · 母公司/控股
被动
13G/AOPRTOportun Financial Corporation· 9.8%(前7.9%)· 07/23 14:45
申报依据 被动投资者(<20%)
联合申报Forager Capital Management, LLC 9.8% · Forager Fund, L.P. 9.8% · Kissel Edward Urban 9.8% · MacArthur Robert Symmes 9.8%展开 ▾
Forager Capital Management, LLC投资顾问9.8%4,512,045
Forager Fund, L.P.合伙9.8%4,512,045
Kissel Edward Urban母公司/控股9.8%4,512,045
MacArthur Robert Symmes母公司/控股9.8%4,512,045
FL
Forager Capital Management, LLC4
投资顾问 · 合伙 · 母公司/控股
被动
13G/AMCFTMasterCraft Boat Holdings, Inc.· 8.9%· 07/23 14:44
申报依据 被动投资者(<20%)
联合申报Forager Capital Management, LLC 8.9% · Forager Fund, L.P. 8.9% · Kissel Edward Urban 8.9% · MacArthur Robert Symmes 8.9%展开 ▾
Forager Capital Management, LLC投资顾问8.9%1,451,074
Forager Fund, L.P.合伙8.9%1,451,074
Kissel Edward Urban母公司/控股8.9%1,451,074
MacArthur Robert Symmes母公司/控股8.9%1,451,074
VI
Victory Capital Management, Inc.
投资顾问
被动
13G/ABJBJ's Wholesale Club Holdings, Inc.· 9.16%· 07/23 14:33
申报依据 合格机构投资者(QII,被动)
FL
FIG LLC9
其他 · 母公司/控股
清仓被动
13G/AKOREKORE Group Holdings, Inc.· 0%· 07/23 14:31
申报依据 被动投资者(<20%)
联合申报FIG LLC 0% · Fortress Operating Entity I LP 0% · FIG Blue LLC (f/k/a FIG Corp.) 0% · Fortress Investment Group LLC 0% · FINCO I Intermediate Holdco LLC 0% · FINCO I LLC 0% · FIG Parent, LLC 0% · Foundation Holdco LP 0% · FIG Buyer GP, LLC 0%展开 ▾
FIG LLC其他0%0
Fortress Operating Entity I LP母公司/控股0%0
FIG Blue LLC (f/k/a FIG Corp.)其他0%0
Fortress Investment Group LLC其他0%0
FINCO I Intermediate Holdco LLC其他0%0
FINCO I LLC其他0%0
FIG Parent, LLC其他0%0
Foundation Holdco LP母公司/控股0%0
FIG Buyer GP, LLC其他0%0
TJ
Thomas A. Satterfield, Jr.
个人
被动
13G/ALTRNLantern Pharma Inc.· 7.6%(前5.1%)· 07/23 13:47
申报依据 被动投资者(<20%)
HL
HORIZON KINETICS ASSET MANAGEMENT LLC2
投资顾问 · 母公司/控股
被动
13GWHKWhiteHawk Minerals Corp.· 6.8%· 07/23 13:46
申报依据 合格机构投资者(QII,被动)
联合申报HORIZON KINETICS ASSET MANAGEMENT LLC 6.8% · Horizon Kinetics Holding Corp 6.8%展开 ▾
HORIZON KINETICS ASSET MANAGEMENT LLC投资顾问6.8%1,552,705
Horizon Kinetics Holding Corp母公司/控股6.8%1,552,705
SL
Streeterville Capital LLC3
其他 · 个人
被动
13GTAOPTaoping Inc.· 9.9%· 07/23 11:55
申报依据 被动投资者(<20%)
联合申报Streeterville Capital LLC 9.9% · Streeterville Management, LLC 9.9% · John M Fife 9.9%展开 ▾
Streeterville Capital LLC其他9.9%954,323
Streeterville Management, LLC其他9.9%954,323
John M Fife个人9.9%954,323
LI
LILLY ENDOWMENT, INC.
公司
被动
13G/ALLYELI LILLY AND COMPANY· 9.6%(前9.7%)· 07/23 10:12
申报依据 豁免投资者
ML
Migdal Insurance & Financial Holdings Ltd.2
公司 · 合伙
被动
13G/AENLTEnlight Renewable Energy Ltd.· 9.95%(前10.07%)· 07/23 09:57
申报依据 被动投资者(<20%)
联合申报Migdal Insurance & Financial Holdings Ltd. 9.95% · Migdal Sal Domestic Equities 7.98%展开 ▾
Migdal Insurance & Financial Holdings Ltd.公司9.95%13,904,887
Migdal Sal Domestic Equities合伙7.98%11,149,985
ML
Migdal Insurance & Financial Holdings Ltd.
公司
被动
13G/ATSEMTOWER SEMICONDUCTOR LTD· 5.98%· 07/23 09:52
申报依据 被动投资者(<20%)
ML
Migdal Insurance & Financial Holdings Ltd.
公司
被动
13G/AORAORMAT TECHNOLOGIES, INC.· 5.99%· 07/23 09:50
申报依据 被动投资者(<20%)
ML
Migdal Insurance & Financial Holdings Ltd.2
公司 · 合伙
被动
13G/ACAMTCAMTEK LTD· 8.33%· 07/23 09:48
申报依据 被动投资者(<20%)
联合申报Migdal Insurance & Financial Holdings Ltd. 8.33% · Migdal Sal Domestic Equities 7.31%展开 ▾
Migdal Insurance & Financial Holdings Ltd.公司8.33%3,886,580
Migdal Sal Domestic Equities合伙7.31%3,411,665
KL
K ONE W ONE (NO 3) Ltd3
公司 · 母公司/控股
被动
13GLNZALanzaTech Global, Inc.· 9.3%· 07/23 09:47
申报依据 被动投资者(<20%)
联合申报K ONE W ONE (NO 3) Ltd 9.1% · K ONE W ONE (NO 2) Ltd 0.2% · TINDALL STEPHEN ROBERT 9.3%展开 ▾
K ONE W ONE (NO 3) Ltd公司9.1%1,191,877
K ONE W ONE (NO 2) Ltd公司0.2%23,651
TINDALL STEPHEN ROBERT母公司/控股9.3%1,215,528
ML
Migdal Insurance & Financial Holdings Ltd.2
公司 · 合伙
被动
13G/ATATTTAT TECHNOLOGIES LTD· 7.27%· 07/23 09:41
申报依据 被动投资者(<20%)
联合申报Migdal Insurance & Financial Holdings Ltd. 7.27% · Migdal Sal Domestic Equities 6.57%展开 ▾
Migdal Insurance & Financial Holdings Ltd.公司7.27%944,049
Migdal Sal Domestic Equities合伙6.57%852,589
SI
Sumitomo Mitsui Trust Group, Inc.
母公司/控股
被动
13G/AIXORIX Corporation· 5%(前5.4%)· 07/23 06:01
申报依据 合格机构投资者(QII,被动)
AR
Allred Aaron R
个人
已降至5%下被动
13G/AUPBDUPBOUND GROUP, INC.· 3.1%· 07/22 20:32
申报依据 被动投资者(<20%)
ML
Millennium Management LLC3
其他 · 个人
被动
13GAMRCAmeresco, Inc.· 5.2%· 07/22 18:24
申报依据 被动投资者(<20%)
联合申报Millennium Management LLC 5.2% · Millennium Group Management LLC 5.2% · Israel A. Englander 5.2%展开 ▾
Millennium Management LLC其他5.2%1,816,169
Millennium Group Management LLC其他5.2%1,816,169
Israel A. Englander个人5.2%1,816,169
ML
Millennium Management LLC3
其他 · 个人
已降至5%下被动
13GSAMThe Boston Beer Company, Inc.· 4.9%· 07/22 18:15
申报依据 被动投资者(<20%)
联合申报Millennium Management LLC 4.9% · Millennium Group Management LLC 4.9% · Israel A. Englander 4.9%展开 ▾
Millennium Management LLC其他4.9%411,413
Millennium Group Management LLC其他4.9%411,413
Israel A. Englander个人4.9%411,413
HI
Hnatko Capital Inc.2
公司 · 个人
被动
13GHTCRHeartCore Enterprises, Inc.· 7.1%· 07/22 17:12
申报依据 被动投资者(<20%)
联合申报Hnatko Capital Inc. 7.1% · Christopher Hnatko 7.1%展开 ▾
Hnatko Capital Inc.公司7.1%101,917
Christopher Hnatko个人7.1%101,917
SL
Samda Biolab Co., Ltd.
公司
被动
13GLIMNWLiminatus Pharma, Inc.· 5.1%· 07/22 17:07
申报依据 被动投资者(<20%)
PL
PZENA INVESTMENT MANAGEMENT LLC
投资顾问
被动
13GMBCMasterBrand, Inc.· 7.5%· 07/22 16:33
申报依据 合格机构投资者(QII,被动)
PL
Pzena Investment Management, LLC
投资顾问
被动
13GFBINMasterbrand Inc· 7.5%· 07/22 15:40
申报依据 合格机构投资者(QII,被动)
AL
Avondale Capital, LLC4
其他 · 个人
被动
13GBURUWNuburu, Inc.· 8.8%· 07/22 14:58
申报依据 被动投资者(<20%)
联合申报Avondale Capital, LLC 8.8% · Streeterville Capital LLC 8.8% · Streeterville Management, LLC 8.8% · John M Fife 8.8%展开 ▾
Avondale Capital, LLC其他8.8%32,154,340
Streeterville Capital LLC其他8.8%32,154,340
Streeterville Management, LLC其他8.8%32,154,340
John M Fife个人8.8%32,154,340
SI
SHIKIAR ASSET MANAGEMENT INC
投资顾问
被动
13GFTAIMFTAI Aviation Ltd.· 5.8%(前6.3%)· 07/22 14:57
申报依据 合格机构投资者(QII,被动)
RL
RP Investment Advisors LP5
合伙 · 非美机构
被动
13GCH4 Natural Solutions Corp· 5.2%· 07/22 14:06
申报依据 被动投资者(<20%)
联合申报RP Investment Advisors LP 5.2% · RP Select Opportunities Master Fund Ltd. 3.1% · RP Debt Opportunities Fund Ltd. 0.5% · RP Alternative Global Bond Fund 1.2% · RP Alternative Credit Opportunities Fund 0.3%展开 ▾
RP Investment Advisors LP合伙5.2%1,150,506
RP Select Opportunities Master Fund Ltd.非美机构3.1%695,710
RP Debt Opportunities Fund Ltd.非美机构0.5%119,768
RP Alternative Global Bond Fund非美机构1.2%262,661
RP Alternative Credit Opportunities Fund非美机构0.3%72,367
RL
ROYCE & ASSOCIATES LP
投资顾问
已降至5%下被动
13G/ACINTCI&T Inc· 3.02%(前6.2%)· 07/22 13:51
申报依据 豁免投资者
RL
ROYCE & ASSOCIATES LP
投资顾问
已降至5%下被动
13G/ATRNSTranscat, Inc.· 4.62%(前6.58%)· 07/22 13:46
申报依据 豁免投资者
JC
JPMORGAN CHASE & CO.
母公司/控股
已降至5%下被动
13G/AMCDMcDonald's Corporation· 4.3%(前5.1%)· 07/22 13:45
申报依据 合格机构投资者(QII,被动)
RL
ROYCE & ASSOCIATES LP
投资顾问
已降至5%下被动
13G/AONEWOneWater Marine Inc.· 3.39%(前11.19%)· 07/22 13:42
申报依据 豁免投资者
JC
JPMORGAN CHASE & CO.
母公司/控股
已降至5%下被动
13G/AINSMINSMED INCORPORATED· 4.7%· 07/22 13:39
申报依据 合格机构投资者(QII,被动)
JC
JPMORGAN CHASE & CO.
母公司/控股
已降至5%下被动
13G/AHWMHOWMET AEROSPACE INC.· 4.5%(前5.1%)· 07/22 13:36
申报依据 合格机构投资者(QII,被动)
RL
ROYCE & ASSOCIATES LP
投资顾问
被动
13G/ALXFRLuxfer Holdings PLC· 7.18%· 07/22 13:35
申报依据 豁免投资者
JC
JPMORGAN CHASE & CO.
母公司/控股
已降至5%下被动
13G/ADOCHealthpeak Properties, Inc.· 4.3%(前6.1%)· 07/22 13:29
申报依据 合格机构投资者(QII,被动)
JC
JPMORGAN CHASE & CO.
母公司/控股
已降至5%下被动
13G/AHAYWHayward Holdings, Inc.· 4.8%· 07/22 13:25
申报依据 合格机构投资者(QII,被动)
JC
JPMORGAN CHASE & CO.
母公司/控股
已降至5%下被动
13G/AKOYNUCSLM DIGITAL ASSET ACQUISITION CORP III, LTD· 4.8%· 07/22 13:21
申报依据 合格机构投资者(QII,被动)
JC
JPMORGAN CHASE & CO.
母公司/控股
已降至5%下被动
13G/ACBRSCerebras Systems Inc.· 3.3%(前10.1%)· 07/22 13:15
申报依据 合格机构投资者(QII,被动)
JC
JPMORGAN CHASE & CO.
母公司/控股
已降至5%下被动
13G/ARNACCartesian Therapeutics, Inc.· 4.8%· 07/22 13:11
申报依据 合格机构投资者(QII,被动)
RL
ROYCE & ASSOCIATES LP
投资顾问
被动
13GWPRTWestport Fuel Systems Inc.· 5.09%· 07/22 13:05
申报依据 豁免投资者
RL
ROYCE & ASSOCIATES LP
投资顾问
被动
13G/ATBITrueBlue, Inc.· 9.18%(前7.03%)· 07/22 12:34
申报依据 豁免投资者
RL
ROYCE & ASSOCIATES LP
投资顾问
被动
13GRNGRRanger Energy Services, Inc.· 5.46%· 07/22 12:25
申报依据 豁免投资者
RL
ROYCE & ASSOCIATES LP
投资顾问
被动
13GOPRXOptimizeRx Corp· 5.81%· 07/22 12:04
申报依据 豁免投资者
RL
ROYCE & ASSOCIATES LP
投资顾问
被动
13G/AMOVAAMovado Group, Inc.· 5.24%(前9.24%)· 07/22 11:59
申报依据 豁免投资者
RL
ROYCE & ASSOCIATES LP
投资顾问
被动
13G/ALAKELakeland Industries, Inc.· 13.37%(前10.01%)· 07/22 11:53
申报依据 豁免投资者
RL
ROYCE & ASSOCIATES LP
投资顾问
被动
13GLYTSLSI Industries Inc.· 5%· 07/22 11:45
申报依据 豁免投资者
RL
RainForest Partners, LLC
公司
被动
13GNVVENuvve Holding Corp.· 9.99%· 07/22 11:37
申报依据 被动投资者(<20%)
SL
Space Summit Capital LLC
投资顾问
被动
13GNCOSouthern Cross Acquisition I Corp.· 6.4%· 07/22 11:32
申报依据 被动投资者(<20%)
RL
ROYCE & ASSOCIATES LP
投资顾问
被动
13G/AJILLJ. Jill Inc· 12.25%· 07/22 11:07
申报依据 豁免投资者
TU
The TCW Group, Inc., on behalf of the TCW Business Unit
母公司/控股
被动
13GCVGICommercial Vehicle Group, Inc.· 7.84%· 07/22 11:06
JC
JPMORGAN CHASE & CO.
母公司/控股
已降至5%下被动
13G/AWSCWILLSCOT HOLDINGS CORPORATION· 4.4%· 07/22 10:41
申报依据 合格机构投资者(QII,被动)
RL
ROYCE & ASSOCIATES LP
投资顾问
被动
13G/AJILLJ. Jill Inc· 12.25%(前10.82%)· 07/22 10:38
申报依据 豁免投资者
RL
ROYCE & ASSOCIATES LP
投资顾问
被动
13GINSGInseego Corp· 6.13%· 07/22 10:33
申报依据 豁免投资者
AM
AMUNDI2
母公司/控股
被动
13G/ATTETotalEnergies SE· 8.97%(前9.41%)· 07/22 09:51
申报依据 合格机构投资者(QII,被动)
联合申报AMUNDI 8.97% · AMUNDI ASSET MANAGEMENT 8.97%展开 ▾
AMUNDI母公司/控股8.97%204,759,179
AMUNDI ASSET MANAGEMENT母公司/控股8.97%204,759,179
AM
AMUNDI2
母公司/控股
被动
13G/ASNYNFSANOFI· 5.65%(前5.04%)· 07/22 09:50
申报依据 合格机构投资者(QII,被动)
联合申报AMUNDI 5.65% · AMUNDI ASSET MANAGEMENT 5.65%展开 ▾
AMUNDI母公司/控股5.65%68,651,904
AMUNDI ASSET MANAGEMENT母公司/控股5.65%68,651,904
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/ASNOVFirst Trust Exchange-Traded Fund VIII· 38.46%(前37.33%)· 07/22 09:49
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 38.46% · First Trust Advisors L.P. 38.46% · The Charger Corporation 38.46%展开 ▾
First Trust Portfolios L.P.券商38.46%1,615,527
First Trust Advisors L.P.投资顾问38.46%1,615,527
The Charger Corporation母公司/控股38.46%1,615,527
AM
AMUNDI2
母公司/控股
被动
13G/AORANYOrange SA· 10.29%(前10.49%)· 07/22 09:49
申报依据 合格机构投资者(QII,被动)
联合申报AMUNDI 10.29% · AMUNDI ASSET MANAGEMENT 10.29%展开 ▾
AMUNDI母公司/控股10.29%273,604,559
AMUNDI ASSET MANAGEMENT母公司/控股10.29%273,604,559
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/ATDVIFirst Trust Exchange-Traded Fund IV· 47.57%(前46.12%)· 07/22 09:49
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 47.57% · First Trust Advisors L.P. 47.57% · The Charger Corporation 47.57%展开 ▾
First Trust Portfolios L.P.券商47.57%7,445,259
First Trust Advisors L.P.投资顾问47.57%7,445,259
The Charger Corporation母公司/控股47.57%7,445,259
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/ASDVDFirst Trust Exchange-Traded Fund IV· 44.63%· 07/22 09:48
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 44.63% · First Trust Advisors L.P. 44.63% · The Charger Corporation 44.63%展开 ▾
First Trust Portfolios L.P.券商44.63%17,295,935
First Trust Advisors L.P.投资顾问44.63%17,295,935
The Charger Corporation母公司/控股44.63%17,295,935
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/ASFEBFirst Trust Exchange-Traded Fund VIII· 35.45%(前31.87%)· 07/22 09:48
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 35.45% · First Trust Advisors L.P. 35.45% · The Charger Corporation 35.45%展开 ▾
First Trust Portfolios L.P.券商35.45%1,683,954
First Trust Advisors L.P.投资顾问35.45%1,683,954
The Charger Corporation母公司/控股35.45%1,683,954
AM
AMUNDI2
母公司/控股
被动
13G/AERIIEnergy Recovery, Inc.· 7.77%(前7.14%)· 07/22 09:48
申报依据 合格机构投资者(QII,被动)
联合申报AMUNDI 7.77% · AMUNDI ASSET MANAGEMENT 7.77%展开 ▾
AMUNDI母公司/控股7.77%4,003,535
AMUNDI ASSET MANAGEMENT母公司/控股7.77%4,003,535
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/AQSPTFirst Trust Exchange-Traded Fund VIII· 60.19%(前60.73%)· 07/22 09:47
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 60.19% · First Trust Advisors L.P. 60.19% · The Charger Corporation 60.19%展开 ▾
First Trust Portfolios L.P.券商60.19%10,804,650
First Trust Advisors L.P.投资顾问60.19%10,804,650
The Charger Corporation母公司/控股60.19%10,804,650
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/ASAUGFirst Trust Exchange-Traded Fund VIII· 40.72%(前36.52%)· 07/22 09:47
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 40.72% · First Trust Advisors L.P. 40.72% · The Charger Corporation 40.72%展开 ▾
First Trust Portfolios L.P.券商40.72%1,567,573
First Trust Advisors L.P.投资顾问40.72%1,567,573
The Charger Corporation母公司/控股40.72%1,567,573
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/AQJUNFirst Trust Exchange-Traded Fund VIII· 57.29%(前52.72%)· 07/22 09:46
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 57.29% · First Trust Advisors L.P. 57.29% · The Charger Corporation 57.29%展开 ▾
First Trust Portfolios L.P.券商57.29%11,285,152
First Trust Advisors L.P.投资顾问57.29%11,285,152
The Charger Corporation母公司/控股57.29%11,285,152
AM
AMUNDI2
母公司/控股
被动
13G/ACWTCALIFORNIA WATER SERVICE GROUP· 5.83%(前5.82%)· 07/22 09:46
申报依据 合格机构投资者(QII,被动)
联合申报AMUNDI 5.83% · AMUNDI ASSET MANAGEMENT 5.83%展开 ▾
AMUNDI母公司/控股5.83%3,489,311
AMUNDI ASSET MANAGEMENT母公司/控股5.83%3,489,311
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/AQDECFirst Trust Exchange-Traded Fund VIII· 54.06%(前50.29%)· 07/22 09:46
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 54.06% · First Trust Advisors L.P. 54.06% · The Charger Corporation 54.06%展开 ▾
First Trust Portfolios L.P.券商54.06%10,568,006
First Trust Advisors L.P.投资顾问54.06%10,568,006
The Charger Corporation母公司/控股54.06%10,568,006
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/ADSEPFirst Trust Exchange-Traded Fund VIII· 45.9%(前43.1%)· 07/22 09:45
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 45.9% · First Trust Advisors L.P. 45.9% · The Charger Corporation 45.9%展开 ▾
First Trust Portfolios L.P.券商45.9%3,362,038
First Trust Advisors L.P.投资顾问45.9%3,362,038
The Charger Corporation母公司/控股45.9%3,362,038
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/ADNOVFirst Trust Exchange-Traded Fund VIII· 40.67%(前38.23%)· 07/22 09:44
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 40.67% · First Trust Advisors L.P. 40.67% · The Charger Corporation 40.67%展开 ▾
First Trust Portfolios L.P.券商40.67%3,111,409
First Trust Advisors L.P.投资顾问40.67%3,111,409
The Charger Corporation母公司/控股40.67%3,111,409
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/ADOCTFirst Trust Exchange-Traded Fund VIII· 40.88%(前38.9%)· 07/22 09:44
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 40.88% · First Trust Advisors L.P. 40.88% · The Charger Corporation 40.88%展开 ▾
First Trust Portfolios L.P.券商40.88%3,413,618
First Trust Advisors L.P.投资顾问40.88%3,413,618
The Charger Corporation母公司/控股40.88%3,413,618
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/ADMAYFirst Trust Exchange-Traded Fund VIII· 42.93%(前44.2%)· 07/22 09:43
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 42.93% · First Trust Advisors L.P. 42.93% · The Charger Corporation 42.93%展开 ▾
First Trust Portfolios L.P.券商42.93%3,369,983
First Trust Advisors L.P.投资顾问42.93%3,369,983
The Charger Corporation母公司/控股42.93%3,369,983
FP
First Trust Portfolios L.P.3
券商 · 投资顾问 · 母公司/控股
被动
13G/ADJUNFirst Trust Exchange-Traded Fund VIII· 48.75%(前53.06%)· 07/22 09:42
申报依据 合格机构投资者(QII,被动)
联合申报First Trust Portfolios L.P. 48.75% · First Trust Advisors L.P. 48.75% · The Charger Corporation 48.75%展开 ▾
First Trust Portfolios L.P.券商48.75%3,217,811
First Trust Advisors L.P.投资顾问48.75%3,217,811
The Charger Corporation母公司/控股48.75%3,217,811