Aktie

FLEETPARTNERS GROUP LTD.

WKN
A3ECDQ
Ticker
FPR
ISIN
AU0000272924
Nasdaq OTC

Unternehmens­daten

Stammdaten zu FLEETPARTNERS GROUP LTD.

WKN
A3ECDQ
ISIN
AU0000272924
Home-Symbol
FPR
Symbol
Branche
Sektor
Unternehmen
ECLIPX GROUP LTD.
Land

Marktdaten

Marktkapitalisierung
447,88 Mio. EUR
Anzahl Aktien
243,78 Mio. Stk.
Streubesitz
18,42 %

Alle Aktien des Unternehmens ECLIPX GROUP LTD.

Mitglieder & Anteilseigner

Anteilseigner

StreubesitzYarra Funds Management Ltd.Australian Retirement Trust Pty Ltd.Kohlberg Kravis Roberts & Co. LPTribeca Investment Partners Pty Ltd.Perpetual Investment Management Ltd.The Trustee for Aware SuperAware Super Pty Ltd.Vinva Investment Management Ltd.Argo Investments Ltd. (Investment Management)The Vanguard Group, Inc.Dimensional Fund Advisors LPColonial First State Investments Ltd.Norges Bank Investment ManagementFleetPartners GroupVanguard Investments Australia Ltd.DFA Australia Ltd.BlackRock Fund AdvisorsAmerican Century Investment Management, Inc.Hnsi Pty Ltd.Russell Investment Management Ltd.
  • Streubesitz (18,42 %)
  • Yarra Funds Management Ltd. (12,64 %)
  • Australian Retirement Trust Pty Ltd. (7,98 %)
  • Kohlberg Kravis Roberts & Co. LP (5,73 %)
  • Tribeca Investment Partners Pty Ltd. (5,73 %)
  • Perpetual Investment Management Ltd. (5,73 %)
  • The Trustee for Aware Super (5,57 %)
  • Aware Super Pty Ltd. (5,42 %)
  • Vinva Investment Management Ltd. (5,18 %)
  • Argo Investments Ltd. (Investment Management) (4,96 %)
  • The Vanguard Group, Inc. (3,82 %)
  • Dimensional Fund Advisors LP (3,75 %)
  • Colonial First State Investments Ltd. (3,43 %)
  • Norges Bank Investment Management (2,38 %)
  • FleetPartners Group (2,34 %)
  • Vanguard Investments Australia Ltd. (1,79 %)
  • DFA Australia Ltd. (1,62 %)
  • BlackRock Fund Advisors (1,21 %)
  • American Century Investment Management, Inc. (1,04 %)
  • Hnsi Pty Ltd. (0,67 %)
  • Russell Investment Management Ltd. (0,60 %)

Kontakt

Eclipx Group Ltd.

Bilanz von ECLIPX GROUP LTD.

Gewinn & Verlust von ECLIPX GROUP LTD.