65,75967 % | Golden Link Worldwide Ltd | 1.481.700.000 | 0 | 31/12/2024 |
1,13079 % | The Vanguard Group, Inc. | 25.478.994 | 0 | 31/7/2025 |
0,75395 % | China Asset Management Co., Ltd. | 16.988.000 | 4.610.000 | 31/12/2024 |
0,65158 % | AEGON-INDUSTRIAL Fund Management Co., Ltd. | 14.681.500 | 14.681.500 | 31/12/2024 |
0,60024 % | BlackRock Institutional Trust Company, N.A. | 13.524.717 | 426.000 | 31/7/2025 |
0,58472 % | China Universal Asset Management Co., Ltd. | 13.175.000 | 12.614.500 | 31/12/2024 |
0,54600 % | INVESCO Great Wall Fund Management Co. Ltd. | 12.302.500 | 10.981.500 | 31/12/2024 |
0,52747 % | Hang Seng Investment Management Ltd. | 11.884.879 | 82.209 | 31/7/2025 |
0,50826 % | CSOP Asset Management Limited | 11.452.169 | -2.906.001 | 30/6/2025 |
0,46867 % | HuaAn Fund Management Co., Ltd. | 10.560.000 | 1.936.000 | 31/12/2024 |
0,44758 % | Zhong Ou Asset Management Co., Ltd. | 10.085.000 | 8.446.500 | 31/12/2024 |
0,38357 % | Dimensional Fund Advisors, L.P. | 8.642.722 | 618.500 | 31/7/2025 |
0,37724 % | Wang (Nian Qiang) | 8.500.000 | 0 | 31/12/2024 |
0,37418 % | BlackRock Advisors (UK) Limited | 8.431.104 | 476.500 | 31/7/2025 |
0,36849 % | Norges Bank Investment Management (NBIM) | 8.302.765 | -7.211.356 | 31/12/2024 |
0,35250 % | GF Fund Management Co., Ltd. | 7.942.587 | 677.000 | 31/12/2024 |
0,33674 % | BlackRock Asset Management North Asia Limited | 7.587.500 | -1.625.000 | 30/4/2025 |
0,31908 % | China Southern Asset Management Co. Ltd. | 7.189.500 | 6.370.000 | 31/12/2024 |
0,29277 % | BlackRock (Singapore) Limited | 6.596.793 | 1.422.948 | 31/7/2025 |
0,27845 % | CCB Principal Asset Management Co., Ltd. | 6.273.951 | -500 | 30/4/2025 |
0,24518 % | Bosera Asset Management Co., Ltd. | 5.524.500 | 1.465.000 | 31/12/2024 |
0,24323 % | E Fund Management Co. Ltd. | 5.480.500 | 2.535.500 | 31/12/2024 |
0,23688 % | Fullgoal Fund Management Co., Ltd. | 5.337.500 | 3.418.916 | 31/12/2024 |
0,18747 % | Dacheng Fund Management Co., Ltd. | 4.224.000 | 2.870.000 | 31/12/2024 |
0,17166 % | Geode Capital Management, L.L.C. | 3.867.839 | 34.500 | 30/6/2025 |
0,16578 % | ICBC UBS Asset Management Co., Ltd. | 3.735.400 | 1.983.900 | 31/12/2024 |
0,16055 % | Tianhong Asset Management Co., Ltd. | 3.617.500 | -800.000 | 31/12/2024 |
0,14923 % | American Century Investment Management, Inc. | 3.362.500 | 114.000 | 31/7/2025 |
0,14016 % | HSBC Global Asset Management (UK) Limited | 3.158.091 | -198.500 | 30/6/2025 |
0,13583 % | Harvest Fund Management Co., Ltd. | 3.060.500 | 1.694.500 | 31/12/2024 |
0,10729 % | Yinhua Fund Management Co., Ltd. | 2.417.500 | 1.783.000 | 31/12/2024 |
0,10690 % | DNB Asset Management AS | 2.408.695 | -776.000 | 30/6/2025 |
0,09936 % | Goldman Sachs Asset Management International | 2.238.715 | -105.700 | 30/6/2025 |
0,09757 % | State Street Global Advisors (US) | 2.198.556 | 20.500 | 31/7/2025 |
0,08512 % | CPP Investment Board | 1.918.000 | -267.000 | 31/3/2024 |
0,08140 % | JPMorgan Asset Management (China) Company Limited. | 1.834.000 | 102.500 | 31/12/2024 |
0,07912 % | Aviva Investors Global Services Limited | 1.782.680 | 30.500 | 30/6/2025 |
0,07071 % | Mirae Asset Global Investments Co., Ltd. | 1.593.254 | -522.050 | 30/6/2025 |
0,06948 % | China Merchants Fund Management Co. Ltd. | 1.565.500 | 812.000 | 31/12/2024 |
0,06742 % | Baoying Fund Management Co., Ltd. | 1.519.000 | 108.500 | 31/12/2024 |
0,06692 % | Nuveen LLC | 1.507.939 | 0 | 30/6/2025 |
0,05932 % | Huashang Fund Management Co., Ltd. | 1.336.502 | 1.336.502 | 31/12/2024 |
0,05537 % | California Public Employees' Retirement System | 1.247.500 | -149.500 | 30/6/2024 |
0,05532 % | BlackRock Investment Management (UK) Ltd. | 1.246.500 | 167.000 | 31/5/2025 |
0,05286 % | Fidelity Investments Canada ULC | 1.190.964 | 1.190.964 | 31/3/2025 |
0,05104 % | Dimensional Fund Advisors, Ltd. | 1.150.000 | -80.500 | 31/7/2025 |
0,05049 % | PGGM Vermogensbeheer B.V. | 1.137.716 | 507.467 | 31/3/2025 |
0,04977 % | Rongtong Fund Management Co., Ltd. | 1.121.500 | 1.101.500 | 31/12/2024 |
0,04345 % | ZhongGeng Fund Management Co., Ltd. | 979.000 | -593.500 | 31/12/2024 |
0,04221 % | Matthews International Capital Management, L.L.C. | 951.000 | 0 | 31/7/2025 |
0,04119 % | Legal & General Investment Management Ltd. | 928.170 | 0 | 31/7/2025 |
0,04063 % | Charles Schwab Investment Management, Inc. | 915.516 | 0 | 31/7/2025 |
0,03950 % | Essence Fund Management Co., Ltd. | 890.000 | 890.000 | 31/12/2024 |
0,03790 % | State Street Global Advisors (UK) Ltd. | 853.895 | 3000 | 31/7/2025 |
0,03706 % | Maxwealth Fund Management Co., Ltd. | 835.000 | 835.000 | 31/12/2024 |
0,03698 % | Mirae Asset Global Investments (Hong Kong) Limited | 833.214 | -457.154 | 30/6/2025 |
0,03641 % | UBS SDIC Fund Management Co., Ltd. | 820.500 | 820.500 | 31/12/2024 |
0,03639 % | UBS Asset Management (UK) Ltd. | 820.000 | 209.000 | 31/7/2025 |
0,03571 % | Northern Trust Global Investments Limited | 804.673 | 8673 | 30/6/2025 |
0,03348 % | DWS Investments UK Limited | 754.419 | 25.999 | 31/7/2025 |
0,03229 % | Royal London Asset Management Ltd. | 727.500 | 0 | 30/4/2025 |
0,03227 % | Great Wall Fund Management Co., Ltd. | 727.000 | 18.000 | 31/12/2024 |
0,03138 % | UBS Asset Management (Switzerland) | 707.000 | 0 | 31/5/2025 |
0,03011 % | First Trust Advisors L.P. | 678.358 | -75.474 | 31/7/2025 |
0,02982 % | Orient Securities Asset Management Company Limited | 672.000 | 672.000 | 31/12/2024 |
0,02894 % | Amundi Japan Ltd. | 652.000 | 0 | 31/7/2025 |
0,02776 % | SWS MU Fund Management Co., Ltd. | 625.500 | 625.500 | 31/12/2024 |
0,02743 % | Chou Associates Management Inc. | 618.000 | 0 | 30/6/2025 |
0,02722 % | DWS Investment GmbH | 613.360 | 250 | 31/7/2025 |
0,02638 % | Lion Global Investors Limited | 594.337 | -1057 | 31/7/2025 |
0,02559 % | Pictet Asset Management Ltd. | 576.500 | -7500 | 30/4/2025 |
0,02488 % | BOCI-Prudential Asset Management Ltd. | 560.500 | 0 | 30/6/2025 |
0,02391 % | China Asset Management (Hong Kong) Limited | 538.644 | 7243 | 31/7/2025 |
0,02346 % | Mellon Investments Corporation | 528.500 | 7500 | 31/7/2025 |
0,02250 % | Lazard Asset Management, L.L.C. | 507.000 | -55.500 | 30/6/2025 |
0,02243 % | Franklin Advisers, Inc. | 505.500 | 64.500 | 30/6/2025 |
0,02204 % | Bank of Communications Schroder Fund Management Co., Ltd. | 496.500 | -421.256 | 31/12/2024 |
0,02186 % | Mercer Global Investments Management Ltd | 492.500 | 0 | 30/6/2025 |
0,02141 % | CITIC Securities Co., Ltd. (Asset Management) | 482.500 | 482.500 | 31/12/2024 |
0,01979 % | HFT Investment Management Co., Ltd. | 446.000 | -1.129.500 | 31/12/2024 |
0,01953 % | Franklin Templeton Sealand Fund Management Co., Ltd. | 440.000 | 440.000 | 31/12/2024 |
0,01933 % | Bank of China Investment Management Co., Ltd. | 435.500 | 435.500 | 31/12/2024 |
0,01804 % | Ping An Fund Management Company Limited | 406.500 | 406.500 | 31/12/2024 |
0,01651 % | Focusbridge Investments Limited | 372.000 | 372.000 | 31/12/2024 |
0,01598 % | Minsheng Royal Asset Management Co., Ltd. | 360.000 | 360.000 | 31/12/2024 |
0,01591 % | UBS Fund Management (Switzerland) AG | 358.500 | 0 | 30/6/2025 |
0,01502 % | abrdn Investments Limited | 338.500 | 126.500 | 30/6/2025 |
0,01498 % | Taikang Asset Management Co., Ltd. | 337.500 | 199.000 | 31/12/2024 |
0,01346 % | Swedbank Robur Fonder AB | 303.217 | -25.363 | 30/6/2025 |
0,01305 % | Wanjia Asset Management Co., Ltd. | 294.000 | 244.000 | 31/12/2024 |
0,01209 % | Invesco Capital Management LLC | 272.506 | 20.500 | 31/7/2025 |
0,01203 % | Minsheng Royal Fund Management Company Ltd. | 271.000 | 264.000 | 31/12/2024 |
0,01158 % | Debeka Asset Management GmbH | 261.000 | 0 | 31/5/2025 |
0,01110 % | Erste Asset Management GmbH | 250.000 | 0 | 31/5/2025 |
0,01102 % | Baring Asset Management (Asia) Limited | 248.214 | -7282 | 30/9/2024 |
0,01071 % | Vanguard Investments Australia Ltd. | 241.255 | 0 | 30/6/2025 |
0,01070 % | Macquarie Investment Management | 241.000 | 0 | 31/5/2024 |
0,01023 % | Samsung Asset Management Co., Ltd. | 230.583 | -94.028 | 30/6/2025 |
0,01016 % | PengYang Asset Management Co., Ltd | 229.000 | -77.500 | 31/12/2024 |
0,00902 % | Storebrand Kapitalforvaltning AS | 203.250 | 0 | 30/6/2025 |