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货币单位:美元(USD)

霍尼韦尔国际公司

Honeywell International, Inc. (hon)

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开盘价:-- 最高价:-- 最低价:-- 52周最高价:-- 52周最低价:--
成交量:-- 平均成交量:-- 市值:-- 市盈率:-- 预期市盈率:--
每股收益:-- 贝塔系数:-- 股息:-- 收益率:-- 总股本:--
机构持股
持有者 持有份额 持股比例 份额变化 变化率 报告日期
SSGA Funds Management Inc 11579513 1.70% -501712 -4.15% 2022-05-31
Vanguard Group Inc 59519520 8.74% 3400094 6.06% 2022-03-31
BlackRock Inc 41185153 6.05% -83670 -0.20% 2021-12-31
Capital Research and Management Company 36755434 5.40% -5840619 -13.71% 2022-05-31
State Street Corporation 33707783 4.95% -475812 -1.39% 2022-03-31
BlackRock Fund Advisors 27724991 4.07% -2068795 -6.94% 2022-05-31
SPDR State Street Global Advisors 26043634 3.83% 16739 0.06% 2022-05-31
Massachusetts Financial Services Company 20914277 3.07% -418185 -1.96% 2022-03-31
MFS Investment Management KK 20914277 3.07% -418185 -1.96% 2022-03-31
Vanguard Investments Australia Ltd 20418517 3.00% 191905 0.95% 2022-05-31
Invesco Capital Management LLC 20304889 2.98% 8901184 78.06% 2022-05-31
Geode Capital Management, LLC 11759959 1.73% 275344 2.40% 2022-03-31
Morgan Stanley - Brokerage Accounts 12428967 1.83% -82668 -0.66% 2022-03-31
Capital Group 13450953 1.98% -4872998 -26.59% 2022-05-31
Wellington Management Company LLP 14683542 2.16% 1921577 15.06% 2022-03-31
Newport Trust Co. 16745307 2.46% -- -- 2022-03-31
Fidelity Management & Research Company LLC 18263334 2.68% -460028 -2.46% 2022-05-31
Bank of America Corp 19656776 2.89% -187181 -0.94% 2022-03-31
Morgan Stanley Smith Barney LLC 11020821 1.62% 11020821 -- 2021-12-31
Capital World Investors 9754772 1.42% -10211643 -51.14% 2021-12-31
State Street Global Advisors 16594949 2.42% -138250 -0.83% 2022-02-28
Capital Research & Mgmt Co - Division 3 8638889 1.26% 186814 2.21% 2021-12-31
Vanguard 8749117 1.28% 294189 3.48% 2022-01-31
State Street Global Advisors (Aus) Ltd 7182682 1.04% 52432 0.74% 2022-01-31
Northern Trust Corp 7067371 1.03% -127522 -1.77% 2021-09-30
Bank of New York Mellon Corp 7651996 1.11% -15664 -0.20% 2021-06-30
T. Rowe Price Associates, Inc. 8422719 1.22% -1358474 -13.89% 2021-06-30
JPMorgan Chase & Co 10764404 1.55% -1861521 -14.74% 2020-12-31
Frost Investment Advisors, LLC 44000000 6.33% -1000000 -2.22% 2021-02-28
Russell Investments Group, LLC 701686000 -- 701685898 687927360.00% 2021-02-28
Franklin Resources Inc 11366252 1.62% 1638168 16.84% 2020-09-30
Fidelity Management & Research Company LLC 10441465 1.49% -1607035 -13.34% 2020-11-30
JPMorgan Chase & Co 11056829 1.58% -3032020 -21.52% 2020-06-30
Fidelity Management & Research Company 11090807 1.54% -2525918 -18.55% 2020-05-31
J.P. Morgan Investment Management, Inc. 8694882 1.21% 39042 0.45% 2020-03-31
Franklin Advisers, Inc. 8792904 1.22% 3076483 53.82% 2020-03-31
Northern Trust Investments N A 8643001 1.20% 20269 0.24% 2019-12-31
Ameriprise Financial Inc 9172602 1.27% -5048 -0.06% 2019-09-30
Bank of America Corporation 20027947 2.78% -1744169 -8.01% 2019-06-30
Columbia Mgmt Investment Advisers, LLC 8886678 1.24% 337577 3.95% 2019-03-31
Putnam Investment Management, LLC 8116026 1.12% 282850 3.61% 2019-06-30
BlackRock Japan Co Ltd 10725903 1.47% 12849 0.12% 2019-05-31
BlackRock Asset Management Canada Ltd 22496579 3.09% 26300 0.12% 2019-05-31
TIAA-CREF Investment Management LLC 12853316 1.74% 6178779 92.57% 2018-09-30
BlackRock Institutional Trust Company NA 18821852 2.54% -2224131 -10.57% 2018-06-30
State Street Corp 28625524 3.85% -297543 -1.03% 2018-06-30
J.P. Morgan Investment Management Inc 9536161 1.28% 666837 7.52% 2018-06-30
Columbia Mangmt Investment Advisers, LLC 9119567 1.23% -1093360 -10.71% 2018-06-30
Managed Account Advisors LLC 7326093 0.99% 360821 5.18% 2018-06-30
AllianceBernstein LP 7107819 0.96% 1121053 18.73% 2018-06-30
Merrill Lynch & Co Inc 6365751 0.86% -46075 -0.72% 2018-06-30
ClearBridge Advisors, LLC 6109607 0.82% 86630 1.44% 2018-06-30
Fidelity Management and Research Company 5583460 0.75% -611613 -9.87% 2018-06-30
Franklin Advisers Inc 5662860 0.76% 83192 1.49% 2018-06-30
Goldman, Sachs & Co. 5694078 0.76% 447127 8.52% 2017-12-31
Evercore Trust Company, N.A. 19712106 2.59% -- -- 2017-09-30
UBS Securities LLC 4644933 0.61% 549486 13.42% 2017-09-30
Lazard Asset Management LLC 5554440 0.73% -28449 -0.51% 2016-09-30
Fred Alger Management Inc 5774329 0.76% -79318 -1.36% 2016-09-30
Barrow Hanley Mewhinney & Strauss LLC 7930644 1.04% -516380 -6.11% 2016-12-31
The Vanguard Group 41688512 5.51% 41688512 -- 2016-02-26
BlackRock, Inc. 47523994 2.00% 2147483647 0.10% 1999-11-30
共同基金持股
持有者 持有份额 持股比例 份额变化 变化率 报告日期
Columbia Dividend Value 3163531 0.46% 256817 8.84% 2022-03-31
Vanguard Total Stock Market Index Fund 20092423 2.95% 200404 1.01% 2022-05-31
Vanguard 500 Index Fund 14941878 2.19% 107633 0.73% 2022-05-31
Invesco QQQ Trust 9738273 1.43% -57728 -0.59% 2022-05-31
Vanguard Dividend Growth Fund 7861002 1.15% 484628 6.57% 2022-03-31
Fidelity 7177077 1.05% 52608 0.74% 2022-04-30
MFS Value Fund 7145322 1.05% -107875 -1.49% 2022-04-30
iShares Core S&P 500 ETF 5898992 0.87% 8932 0.15% 2022-05-31
Vanguard Value Index Fund 5818347 0.85% 95650 1.67% 2022-05-31
Vanguard Institutional Index Fund 5112602 0.75% -4557 -0.09% 2022-05-31
Columbia Dividend Income Fund 3166815 0.47% 3284 0.10% 2022-05-31
SPDR 5805009 0.85% 39528 0.69% 2022-05-31
American Funds American Mutual Fund 3349727 0.49% 519307 18.35% 2022-03-31
Capital Group American Mutual Comp 3349727 0.49% 519307 18.35% 2022-03-31
Industrial Select Sector SPDR 3484663 0.51% -165171 -4.53% 2022-05-31
American Funds Washington Mutual Fund 4089812 0.60% -1249770 -23.41% 2022-03-31
Capital Group Wash Mutual Invtrs Comp 4089812 0.60% -1249770 -23.41% 2022-03-31
Vanguard Windsor 4150452 0.61% -32296 -0.77% 2022-03-31
Vanguard Dividend Appreciation Index Fd 4251553 0.62% 35263 0.84% 2022-05-31
State Street S&P 500 Index Fund 3132724 0.46% 8100 0.26% 2022-03-31
Capital Group Fundamental Invtrs Comp 3112048 0.46% -1747080 -35.95% 2021-12-31
American Funds Fundamental Invs 3112048 0.45% -1747080 -35.95% 2021-12-31
Franklin Rising Dividends Fund 3103400 0.45% -14200 -0.46% 2021-12-31
Capital Group New Perspective Comp 3552553 0.52% -- -- 2021-09-30
American Funds New Perspective Fund 3552553 0.52% -- -- 2021-09-30
Liberty One Spectrum 8950443 1.30% 288487 3.33% 2021-09-30
Capital Group Growth Fnd of Amer Comp 3666977 0.53% 23458 0.64% 2021-03-31
American Funds Growth Fund of Amer 3666977 0.53% 23458 0.64% 2021-03-31
American Funds American Balanced Fund 4393121 0.63% -34794 -0.79% 2021-03-31
Russell Inv Tax-Managed DI Large Cap SMA 701686000 -- 701686000 -- 2020-12-31
Franklin Income Fund 4000000 0.57% -- -- 2020-10-31
iShares Core S&P 500 ETF 5463578 0.78% 423 0.01% 2020-11-27
Franklin Rising Dividends Fd 3721700 0.52% -67500 -1.78% 2020-06-30
CREF Stock Account 3165559 0.44% -8126 -0.26% 2020-05-31
State Street S&P 500 Index Fund 3145616 0.44% 31400 1.01% 2020-05-31
BlackRock Equity Index 2251897 0.31% -5392 -0.24% 2020-03-31
Russell 1000 Index Fund 2167376 0.30% -7852 -0.36% 2020-02-29
NT S&P 500 Index Fund - Non-Lending 1861717 0.26% -20679 -1.10% 2019-09-30
Vanguard PrimeCap Fund 1923400 0.27% -406600 -17.45% 2019-06-30
T. Rowe Price Blue Chip Growth Fund 2524000 0.35% 91800 3.77% 2019-06-30
T. Rowe Price Lg-Cap Core Gr Strat-UBS 2524000 0.35% 91800 3.77% 2019-06-30
iShares MSCI World ETF 5340759 0.73% 1752 0.03% 2019-05-23
iShares Core MSCI AllCntry Wld exCan ETF 5340759 0.73% 1752 0.03% 2019-05-23
iShares Core MSCI Kokusai ETF 5361345 0.74% 4818 0.09% 2019-05-30
iShares Core S&P 500 ETF (CAD-Hedged) 5361345 0.74% 4818 0.09% 2019-05-30
iShares S&P 500 ETF 5361345 0.74% 4818 0.09% 2019-05-30
iShares Core S&P US Total Market ETF 5361345 0.74% 4818 0.09% 2019-05-30
Nikko Global Robotics Equity Mother Fund 2078900 0.29% 210000 11.24% 2018-07-20
T. Rowe Price Growth Stock Fund 1606400 0.22% -1150600 -41.73% 2018-12-31
OH Putnam Fidelity Spartan 500 Index 5545909 0.76% 160468 2.98% 2019-01-31
FMI Large Cap Fund 1550000 0.21% -150000 -8.82% 2018-12-31
ClearBridge Large Cap Growth Fund 1524080 0.21% 7180 0.47% 2018-12-31
Vanguard Equity Income Fund 1636331 0.22% -85409 -4.96% 2018-09-30
BlackRock Russell 1000 Index Fund 2074502 0.28% 29331 1.43% 2019-01-31
Vanguard Wellington 3160675 0.43% 22015 0.70% 2018-09-30
BlackRock Equity Dividend Fund 1565987 0.21% -39004 -2.43% 2018-11-30
Undrly L&G Diversified Life 3188440 0.43% 3173406 21108.19% 2018-09-30
MFS 6072195 0.82% -- -- 2018-10-31
Undrly L&G Pen PMC Diversified 3188440 0.43% 3173406 21108.19% 2018-09-30
Franklin Rising Dividends Fund A 4316000 0.58% -- -- 2018-07-31
Vanguard Dividend Growth Inv 5015214 0.68% 120406 2.46% 2018-06-30
Fidelity Spartan 4975447 0.67% 58685 1.19% 2018-07-31
MFS Value A 6202054 0.84% -- -- 2018-07-31
Vanguard Institutional Index I 7226110 0.97% 8645 0.12% 2018-07-31
Vanguard 500 Index Inv 13525774 1.82% 14467 0.11% 2018-07-31
Vanguard Total Stock Mkt Idx 18780346 2.53% 94522 0.51% 2018-07-31
T. Rowe Price Blue Chip Growth 2678000 0.36% 129200 5.07% 2018-06-30
Vanguard Value Index Inv 4148730 0.56% 100737 2.49% 2018-07-31
CREF Stock R1 4071750 0.55% -14206 -0.35% 2018-07-31
Columbia Dividend Income Z 1640000 0.22% -- -- 2018-07-31
BlackRock Equity Dividend Inv B 1642087 0.22% -17928 -1.08% 2018-07-31
FMI Large Cap 1850000 0.25% -25000 -1.33% 2018-06-30
Columbia Contrarian Core Z 1759714 0.24% 141890 8.77% 2018-07-31
Vanguard PRIMECAP Inv 2333800 0.31% 3800 0.16% 2018-06-30
T. Rowe Price Growth Stock 2775100 0.37% -18600 -0.67% 2018-06-30
Vanguard Equity-Income Inv 1721740 0.23% -7395 -0.43% 2018-06-30
Strategic Advisers 1967772 0.26% 78262 4.14% 2018-06-30
iShares Russell 1000 Growth 1505687 0.20% -1813 -0.12% 2018-07-31
Janus Balanced D 1637381 0.22% -33107 -1.98% 2017-12-31
T. Rowe Price Value 1910900 0.25% -47800 -2.44% 2017-12-31
MainStay Large Cap Growth A 2041300 0.27% -60400 -2.87% 2016-12-31
JPMorgan Equity Income Select 2168729 0.28% 60600 2.87% 2016-12-31
JPMorgan US Large Cap Core Plus A 2342424 0.31% -204120 -8.02% 2016-12-31
Vanguard Windsor II Fund 8386961 1.10% -103500 -1.20% 2015-09-30
Fidelity Spartan® 500 Index Fd 3865228 0.50% 18880 0.50% 2015-10-31
Franklin Rising Dividends 4629700 0.60% -- -- 2015-09-30
SPDR® S&P 500 ETF 7667892 1.00% 46072 0.60% 2015-11-27
SPDR® S&P 500® ETF Trust 7701117 1.00% 484973 6.70% 2015-10-31