US3159103072 - FID-CANADA FUND Saham - Harga Saham, Kepemilikan Institusional, Pemegang Saham

Statistik Dasar
Pemilik Institusi 8 total, 8 long only, 0 short only, 0 long/short - change of 0,00% MRQ
Alokasi Portofolio Rata-rata 0.7470 % - change of 5,12% MRQ
Saham Institusi (Long) 1.594.126 (ex 13D/G) - change of -0,03MM shares -2,13% MRQ
Nilai Institusi (Long) $ 122.217 USD ($1000)
Kepemilikan Institusi dan Pemegang Saham

FID-CANADA FUND (US:US3159103072) punya 8 pemilik institusi dan pemegang saham yang telah mengajukan formulir 13D/G atau 13F ke Securities Exchange Commission (SEC). Institusi-institusi ini memiliki total 1,594,126 saham. Pemegang saham terbesar termasuk Variable Insurance Products Fund V - FundsManager 60% Portfolio Investor Class, Variable Insurance Products Fund V - FundsManager 50% Portfolio Investor Class, Variable Insurance Products Fund V - FundsManager 70% Portfolio Investor Class, Variable Insurance Products Fund V - FundsManager 85% Portfolio Investor Class, Variable Insurance Products Fund V - Target Volatility Portfolio Service Class, Variable Insurance Products Fund V - FundsManager 20% Portfolio Investor Class, Variable Insurance Products Fund V - FundsManager 40% Portfolio Service Class, and Variable Insurance Products Fund V - FundsManager 30% Portfolio Service Class .

FID-CANADA FUND (US3159103072) struktur kepemilikan institusi menunjukkan posisi saat ini di perusahaan menurut institusi dan dana, serta perubahan terkini dalam ukuran posisi. Pemegang saham utama dapat mencakup investor individu, reksa dana, hedge funds, atau institusi. Jadwal 13D menunjukkan bahwa investor memegang lebih dari 5% saham perusahaan dan bermaksud untuk secara aktif melakukan perubahan dalam strategi bisnis. Jadwal 13G menunjukkan investasi pasif lebih dari 5%.

US3159103072 / FID-CANADA FUND Institutional Ownership
Pengajuan 13F dan NPORT

Detail pengajuan 13F gratis. Detail pengajuan NP memerlukan keanggotaan premium. Baris hijau menunjukkan posisi baru. Baris merah menunjukkan posisi yang sudah ditutup. Klik tautannya ikon untuk melihat riwayat transaksi lengkap.

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Tanggal Berkas Sumber Investor Jenis Harga Rata-rata
(Perkiraan)
Saham Δ Saham
(%)
Dilaporkan
Nilai
($1000)
Δ Nilai
(%)
Alokasi Portofolio
(%)
2025-08-22 NP Variable Insurance Products Fund V - FundsManager 20% Portfolio Investor Class 15.911 -5,36 1.220 8,36
2025-08-22 NP Variable Insurance Products Fund V - FundsManager 60% Portfolio Investor Class 784.586 -1,13 60.154 13,22
2025-08-22 NP Variable Insurance Products Fund V - FundsManager 50% Portfolio Investor Class 311.533 -5,89 23.885 7,77
2025-08-22 NP Variable Insurance Products Fund V - Target Volatility Portfolio Service Class 18.010 -15,54 1.381 -3,29
2025-08-22 NP Variable Insurance Products Fund V - FundsManager 70% Portfolio Investor Class 305.143 -1,81 23.395 12,45
2025-08-22 NP Variable Insurance Products Fund V - FundsManager 30% Portfolio Service Class 1.733 7,64 133 23,36
2025-08-22 NP Variable Insurance Products Fund V - FundsManager 40% Portfolio Service Class 3.636 29,63 279 48,66
2025-08-22 NP Variable Insurance Products Fund V - FundsManager 85% Portfolio Investor Class 153.574 1,76 11.775 16,54
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