13F 機構持倉事實摘要

追蹤機構數

34

披露持倉價值

$76,962,193.00

披露股數

10,994,599

最新披露週期

Q2 2026

主要機構持有者

  1. Steve Cohen - Point72 Asset Management · $22,680,574 · 0.03%
  2. Voya Investment Mgmt · $33,071,724 · 0.03%
  3. David E. Shaw - D.E. Shaw & Co. · $41,358,632 · 0.02%
  4. Renaissance Technologies · $11,826,773 · 0.02%
  5. Two Sigma Investments · $23,776,788 · 0.02%
  6. Cliff Asness - AQR Capital Management · $30,176,435 · 0.01%

資料來源與限制

本頁使用公開 SEC Form 13F 披露和相關機構申報資料。13F 屬於週期性披露,不代表目前即時持倉。

13F Hub 僅提供研究和教育資料,不提供個人化投資建議。

$ASAN

機構持倉

34

主要持倉機構

主要持倉機構

1

Steve Cohen - Point72 Asset Management

3,240,082

0.03%

佔比

2

Voya Investment Mgmt

4,724,532

0.03%

佔比

3

David E. Shaw - D.E. Shaw & Co.

5,908,376

0.02%

佔比

4

Renaissance Technologies

1,689,539

0.02%

佔比

5

Two Sigma Investments

3,396,684

0.02%

佔比

6

Cliff Asness - AQR Capital Management

4,310,919

0.01%

佔比

7

David Solomon - Goldman Sachs

6,479,164

NaN%

佔比

8

Jane Street Group

765,588

NaN%

佔比

9

UBS Group

2,063,943

NaN%

佔比

10

Nuveen

827,688

NaN%

佔比

11

Morgan Stanley

2,812,294

NaN%

佔比

12

Larry Fink - BlackRock

9,419,877

NaN%

佔比

13

Charles Schwab

1,052,355

NaN%

佔比

14

Geode Capital Management

2,447,662

NaN%

佔比

15

Northern Trust Corp

950,327

NaN%

佔比

16

Joel Greenblatt - Gotham Asset Management

46,120

NaN%

佔比

17

State Street Corp

3,470,322

NaN%

佔比

18

Jennison Associates

141,683

NaN%

佔比

19

Israel Englander - Millennium Management

98,650

NaN%

佔比

20

BNP Paribas

115,427

NaN%

佔比

21

Canada Pension Plan Investment Board

83,200

NaN%

佔比

22

Franklin Resources

187,373

NaN%

佔比

23

Jamie Dimon - JPMorgan Chase

396,187

NaN%

佔比

24

Ensign Peak Advisors

12,050

NaN%

佔比

25

Legal & General

79,917

NaN%

佔比

26

T. Rowe Price

159,167

NaN%

佔比

27

Invesco

169,358

NaN%

佔比

28

Mitsubishi Ufj Asset Management Co., Ltd.

22,891

NaN%

佔比

29

SG Americas Securities

12,455

NaN%

佔比

30

PNC Financial Services

2,052

NaN%

佔比

31

Natixis

229,600

0.01%

佔比

32

Exoduspoint Capital Management, Lp

60,455

NaN%

佔比

33

PSP Investments

0

0.00%

佔比

34

Verition Fund Management LLC

0

0.00%

佔比

機構洞察PRO

規模分布

MEGA

36%

LARGE

37%

MEDIUM

28%

SMALL

-1%

地理分布

North America
66%
Europe
22%
Asia Pacific
17%
Other
9%

機構活動

Buyers

41

Sellers

32

Holders

73

New

22

Exited

12

解鎖 Pro 版本查看完整數據

內幕交易PRO

交易統計

Insider Buyers

19

Insider Sellers

32

Purchase Value

$26.7M

角色分布

CEO
21%
CFO
21%
Director
39%
VP
16%
Other
5%
解鎖 Pro 版本查看完整數據

綜合評級PRO

61

C+

綜合得分

Moderate institutional interest with stable holdings

評級維度

Institutional Ownership
91
Recent Activity
82
Concentration
58
Momentum
79
Stability
63

近期動作

New

6

Increased

17

Decreased

11

Exited

4

Total

55

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