Ownership Profile

Shareholder Holders Value ($MM) % O/S Shares
Institution 812 15,353.98 96.22 158,286,333
Mutual Fund 1,351 5,355.44 32.02 52,712,631
Insider 24 98.05 0.55 899,419
Shareholder Holders Value Chg ($MM) % O/S Share Change
Buyers 382 657.79 4.20 6,898,072
Sellers 368 -893.34 5.70 -9,347,989
Net -235.56 1.49 -2,449,917
Value ($MM) % O/S Shares
Top 10 Inst. 10,051.92 62.50 102,858,716
Top 20 Inst. 11,378.01 70.91 116,676,225
Top 50 Inst. 12,965.20 81.07 133,392,262
Total Inst. 15,456.04 96.78 159,212,057
Holders Value ($MM) % Inst Shares Shares
Growth 202 4,486.90 28.72 47,163,845
Aggressive Growth 8 231.77 1.49 2,441,135
Core Growth 153 2,824.46 18.08 29,693,552
Growth 41 1,430.67 9.15 15,029,158
Income 35 134.67 0.85 1,402,219
Income Value 14 101.43 0.64 1,052,591
Yield 21 33.24 0.21 349,628
Index 53 3,149.61 20.16 33,123,548
Other 185 3,484.25 20.44 33,658,308
Broker Dealer 28 165.89 1.06 1,747,171
GARP 88 884.83 5.66 9,291,117
Hedge Fund 54 192.64 1.23 2,025,976
Specialty 13 2,240.58 12.48 20,590,710
VC Private Equity 1 0.21 -- 2,200
Sector Specific 1 0.10 -- 1,134
Value 130 918.49 5.76 9,474,796
Core Value 112 868.46 5.44 8,948,158
Deep Value 18 50.04 0.32 526,638
Holders % O/S Shares Share Value
North America 575 53.78 88,325,185 8,406,410,997
Europe 191 23.46 38,648,159 3,981,102,609
Middle East 4 18.29 30,186,318 2,866,190,894
Asia / Pacific 64 1.24 2,046,281 200,180,060
Africa 2 -- 5,937 590,244
Latin America 1 -- 2,442 261,538
Holder Shares Held % O/S Share Change Filing Date
Borse Dubai, Ltd. 29,780,515 18.05 -- 3/23/20
Investor AB 19,394,142 11.75 -- 4/23/20
MFS Investment Management 14,795,129 9.02 1,192,372 3/31/20
The Vanguard Group, Inc. 13,080,346 7.97 240,937 3/31/20
Capital World Investors 8,275,629 5.04 427,577 3/31/20
BlackRock Institutional Trust Company, N.A. 5,622,451 3.41 -72,251 3/31/20
State Street Global Advisors (US) 5,256,901 3.20 -1,809 3/31/20
Capital Research Global Investors 2,391,106 1.46 -2,460,202 3/31/20
Capital International Investors 2,172,113 1.32 -633,948 3/31/20
Findlay Park Partners LLP 2,090,384 1.27 215,384 3/31/20
Fund Shares Held % O/S Share Change Filing Date
MFS Value Fund 5,629,768 3.43 -- 4/30/20
American Funds Washington Mutual Investors Fund 4,722,264 2.88 354,804 3/31/20
Vanguard Total Stock Market Index Fund 3,364,727 2.05 59,898 3/31/20
Vanguard Mid-Cap Index Fund 2,935,324 1.79 2,565 2/29/20
American Funds Capital World Growth & Income Fund 2,475,959 1.51 -557,744 3/31/20
Vanguard 500 Index Fund 2,348,989 1.43 -13,996 4/30/20
American Funds Insurance Series Growth-Income Fund 2,129,600 1.30 -- 3/31/20
MFS Mid-Cap Growth Fund 1,497,626 0.91 52,164 4/30/20
American Funds American Balanced Fund 1,307,000 0.80 292,090 3/31/20
SPDR S&P 500 ETF 1,235,326 0.75 -37,009 4/30/20

* Insider values reflect direct beneficial ownership.

Copyright Thomson Reuters Corporation

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