US44891ACQ85 - Hyundai Capital America Aktie - Aktiekurs, institutionelt ejerskab, aktionærer

Grundlæggende statistik
Institutionelle ejere 0 total, 0 long only, 0 short only, 0 long/short - change of -2,78% MRQ
Gennemsnitlig porteføljeallokering 0.1197 % - change of -3,23% MRQ
Institutionelt ejerskab og aktionærer

Hyundai Capital America (US:US44891ACQ85) har 0 institutionelle ejere og aktionærer, der har indsendt 13D/G- eller 13F-formularer til Securities Exchange Commission (SEC). Største aktionærer omfatter .

Hyundai Capital America (US44891ACQ85) institutionel ejerskabsstruktur viser aktuelle positioner i virksomheden efter institutioner og fonde, samt seneste ændringer i positionsstørrelse. Større aktionærer kan omfatte individuelle investorer, investeringsforeninger, hedgefonde eller institutioner. Skema 13D angiver, at investoren besidder (eller besidder) mere end 5 % af virksomheden og har til hensigt (eller har til hensigt at) aktivt at forfølge en ændring i forretningsstrategi. Skema 13G indikerer en passiv investering på over 5%.

US44891ACQ85 / Hyundai Capital America - 6.25% 2025-11-03 Institutional Ownership
13F og NPORT arkivering

Detaljer om 13F-arkivering er gratis. Detaljer om NP-ansøgninger kræver et premium-medlemskab. Grønne rækker angiver nye positioner. Røde rækker angiver lukkede positioner. Klik på linket ikon for at se den fulde transaktionshistorik.

Opgrader for at låse premium-data op og eksportere til Excel .

Fil dato Kilde Investor Type Gennemsnitlig pris
(Øst)
Aktier Δ Aktier
(%)
Rapporteret
Værdi
($1000)
Δ Værdi
(%)
Port Alloc
(%)
2025-08-25 NP IASBX - Voya Short Term Bond Fund Class A 495 -0,20
2025-08-18 NP PACIFIC SELECT FUND - Short Duration Bond Portfolio Class I 633 -0,47
2025-07-24 NP FSLD - Fidelity Sustainable Low Duration Bond ETF 11 0,00
2025-07-29 NP VGWAX - Vanguard Global Wellington Fund Admiral Shares This fund is a listed as child fund of Vanguard Group Inc and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 6.075 -0,46
2025-08-25 NP HUBAX - Hartford Ultrashort Bond Hls Fund Ia 1.004 -0,40
2025-07-24 NP FAMZX - Fidelity Sustainable Low Duration Bond Fund Fidelity Advisor Sustainable Low Duration Bond Fund: Class A 80 0,00
2025-06-27 NP BBBMX - BBH Limited Duration Fund Class N Shares 9.231 -0,39
2025-08-25 NP AMERICAN FUNDS INSURANCE SERIES - Bond Fund Class 1 This fund is a listed as child fund of Capital World Investors and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 828 -0,36
2025-08-26 NP QAAGWX - T. Rowe Price Limited-Term Bond Portfolio This fund is a listed as child fund of Price T Rowe Associates Inc /md/ and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 120 0,00
2025-07-28 NP JPST - JPMorgan Ultra-Short Income ETF 10.695 -0,47
2025-07-29 NP SUSAX - SIIT Ultra Short Duration Bond Fund - Class A 503 -0,40
2025-08-19 NP NORTHWESTERN MUTUAL SERIES FUND INC - Short-Term Bond Portfolio 261 -0,38
2025-08-22 NP MUIIX - Ultra Short Income Portfolio Institutional Class 6.326 -0,39
2025-07-24 NP FAPFX - Fidelity SAI Sustainable Low Duration Income Fund 90 0,00
2025-06-26 NP ICSH - iShares Ultra Short-Term Bond ETF This fund is a listed as child fund of BlackRock Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 15.696 -0,39
2025-08-28 NP PTTRX - PIMCO Total Return Fund Institutional 25.102 -0,39
2025-08-29 NP DHEAX - Diamond Hill Short Duration Total Return Fund Class A 904 -0,44
2025-06-26 NP SECPX - SDIT ULTRA SHORT DURATION BOND FUND - CLASS F, effective 1-31-2017 (formerly Class A) 252 -0,40
2025-07-29 NP TSDLX - T. Rowe Price Short Duration Income Fund 50 0,00
2025-07-30 NP FAUDX - Strategic Advisers Short Duration Fund This fund is a listed as child fund of Fmr Llc and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 442 -0,45
2025-06-25 NP PYSBX - Payden Low Duration Fund (Investor Class) 991 -0,40
2025-08-28 NP BlackRock Funds II - BLACKROCK MANAGED INCOME FUND CLASS K SHARES This fund is a listed as child fund of BlackRock, Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 163 -0,61
2025-06-26 NP LBLAX - Thrivent Limited Maturity Bond Fund Class A 1.258 -0,40
2025-08-27 NP THRIVENT SERIES FUND INC - Thrivent Limited Maturity Bond Portfolio Class A 753 -0,40
2025-08-29 NP CMDT - PIMCO Commodity Strategy Active Exchange-Traded Fund 1.506 -0,40
2025-08-29 NP MINT - PIMCO Enhanced Short Maturity Active Exchange-Traded Fund 9.722 0,87
2025-08-25 NP ABNDX - BOND FUND OF AMERICA Class A 6.024 -0,40
2025-08-27 NP Jnl Series Trust - Jnl/t. Rowe Price Short-term Bond Fund (a) 824 -0,48
2025-08-22 NP EVSB - Eaton Vance Ultra-Short Income ETF 847 -0,35
2025-05-19 NP MSDYX - Mercer Short Duration Fixed Income Fund Class Y-3 21 0,00
2025-08-26 NP IMBAX - Voya Limited Maturity Bond Portfolio Class ADV 300 -0,33
2025-07-29 NP PRWBX - T. Rowe Price Short-Term Bond Fund, Inc. This fund is a listed as child fund of Price T Rowe Associates Inc /md/ and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 3.116 -0,45
2025-05-27 NP GLDYX - LOW-DURATION BOND FUND Institutional 373 -0,27
2025-07-28 NP JMGIX - JPMorgan Managed Income Fund Class L 5.074 -0,47
2025-07-29 NP VGYAX - Vanguard Global Wellesley Income Fund Admiral Shares This fund is a listed as child fund of Vanguard Group Inc and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 2.661 -0,45
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