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货币单位:美元(USD)

新纪元能源公司

NextEra Energy, Inc. (nee)

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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
Northern Trust Corp 23609027 1.20% -555741 -2.30% 2021-12-31
Vanguard Group Inc 182355161 9.28% 3505846 1.96% 2022-03-31
BlackRock Inc 155328784 7.91% 3926202 2.59% 2021-12-31
State Street Corporation 107613435 5.48% 8023706 8.06% 2022-03-31
BlackRock Fund Advisors 93501232 4.76% -14027841 -13.05% 2022-05-31
Fidelity Management & Research Company LLC 73472668 3.74% -1771415 -2.35% 2022-05-31
SSGA Funds Management Inc 71689875 3.65% 1890579 2.71% 2022-05-31
JPMorgan Chase & Co 60948896 3.10% 5405720 9.73% 2021-12-31
Vanguard Investments Australia Ltd 59224083 3.01% 258268 0.44% 2022-05-31
J.P. Morgan Investment Management, Inc. 50824705 2.59% 170007 0.34% 2022-05-31
Capital Research and Management Company 45089002 2.30% -22898595 -33.68% 2022-05-31
Wells Fargo & Co 27452967 1.40% -2035259 -6.90% 2021-12-31
Morgan Stanley - Brokerage Accounts 28063280 1.43% 943834 3.48% 2021-12-31
FMR Inc 31882372 1.62% 5704449 21.79% 2021-12-31
Geode Capital Management, LLC 31922835 1.62% 796968 2.56% 2021-12-31
T. Rowe Price Associates, Inc. 35441432 1.80% -3097521 -8.04% 2022-03-31
SPDR State Street Global Advisors 41937048 2.13% 643308 1.56% 2022-05-31
Bank of America Corp 43705436 2.22% -1389970 -3.08% 2021-12-31
Capital Group 32881265 1.67% 243151 0.74% 2022-03-31
State Street Global Advisors (Aus) Ltd 20051686 1.02% 146528 0.74% 2022-01-31
State Street Global Advisors 35339033 1.80% -1051567 -2.89% 2022-01-31
Northern Trust Investments N A 25026662 1.28% -732558 -2.84% 2021-03-31
Fidelity Management and Research Company 28090248 1.43% -4133047 -12.83% 2021-03-31
NORGES BANK 30473259 1.55% 3194239 11.71% 2020-12-31
T. Rowe Price 30907818 1.58% -4898361 -13.68% 2021-03-31
Russell Investments Group, LLC 1959074000 99.96% 1959069838 47070396.00% 2021-02-28
Northern Trust Investments Inc 13269708 0.68% -502742 -3.65% 2021-01-31
Bahl & Gaynor Inc. 15271969 0.78% 6989109 84.38% 2020-12-31
California Public Employees Retrmnt Sys 15819335 0.81% -507625 -3.11% 2020-12-31
JPMorgan Asset Management Inc 11555292 0.59% -267021 -2.26% 2021-01-31
Fisher Asset Management, LLC 13046651 0.67% 528475 4.22% 2020-12-31
Deutsche Asset Management Investment GmbH 11059939 0.56% 477 -- 2021-01-31
BlackRock Advisors (UK) Limited 8525184 0.44% 14374 0.17% 2020-12-31
BlackRock Institutional Trust Company NA 8620561 0.44% -100277 -1.15% 2020-12-31
Wells Fargo & Co 8169183 0.42% -208795 -2.49% 2020-06-30
JPMorgan Chase & Co 13309783 0.68% 831348 6.66% 2020-06-30
Fidelity Management & Research Company LLC 42636680 2.18% 45220 0.11% 2020-11-30
Fidelity Management & Research Company 13385645 2.79% 29904 0.22% 2020-05-31
Wellington Management Company LLP 8022017 1.67% -1592744 -16.57% 2019-12-31
Morgan Stanley Smith Barney LLC 6531271 1.36% 151266 2.37% 2019-12-31
Bank of America Corporation 11042460 2.30% -1554267 -12.34% 2019-06-30
BlackRock Japan Co Ltd 7043024 1.47% 6336 0.09% 2019-05-31
BlackRock Asset Management Canada Ltd 15184592 3.17% 10215 0.07% 2019-05-31
Deutsche Asset Mgmt Invst Gesenschaft 6072923 1.27% -806227 -11.72% 2018-09-30
Deutsche Bank AG 7409347 1.55% -829317 -10.07% 2018-09-30
Wells Fargo Advisors, LLC 6202486 1.30% 38203 0.62% 2018-09-30
State Street Corp 22782560 4.83% -126562 -0.55% 2018-06-30
J.P. Morgan Investment Management Inc 9855239 2.09% 565815 6.09% 2018-06-30
Managed Account Advisors LLC 6817051 1.45% 2423298 55.15% 2018-06-30
Deutsche Asset & Wealth Management Investment GmbH 6730094 1.42% -99250 -1.45% 2018-07-31
UBS Securities LLC 3983256 0.84% -636576 -13.78% 2018-06-30
Franklin Advisers Inc 3567283 0.76% 91593 2.64% 2018-06-30
Merrill Lynch & Co Inc 3551280 0.75% 607181 20.62% 2018-06-30
AllianceBernstein LP 3046333 0.65% -148875 -4.66% 2018-06-30
HHG PLC 3016711 0.64% 53173 1.79% 2018-06-30
Caisse De Depot Et Placement Du Quebec 3188416 0.68% -779600 -19.65% 2018-03-31
BlackRock Advisors LLC 2981392 0.63% -98280 -3.19% 2018-01-31
Master Trust for Retirement Savings Plans of Fpl Group 8233169 1.99% 8233169 -- 2009-12-31
MFS Investment Management KK 3096611 0.66% 3093748 108059.66% 2017-09-30
The Vanguard Group 24284637 2.00% 2147483647 -- 1999-11-30
BlackRock, Inc. 35119931 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
Vanguard Dividend Appreciation Index Fd 12017141 0.61% 61360 0.51% 2022-04-30
Vanguard Total Stock Market Index Fund 56914634 2.90% 269005 0.47% 2022-04-30
Vanguard 500 Index Fund 42443396 2.16% -470758 -1.10% 2022-04-30
Utilities Select Sector SPDR 30992082 1.58% 41958 0.14% 2022-05-31
SPDR 21193814 1.08% 49708 0.24% 2022-05-31
iShares Core S&P 500 ETF 16856199 0.86% 25498 0.15% 2022-05-31
Vanguard Value Index Fund 15975595 0.81% 120309 0.76% 2022-04-30
Vanguard Institutional Index Fund 14640552 0.75% -57780 -0.39% 2022-04-30
Vanguard Utilities Index Fund 13273326 0.68% 116469 0.89% 2022-04-30
Franklin Utilities Fund 9686286 0.49% -- -- 2022-04-30
Capital Group Investment Co of Amer Comp 6227381 0.32% -573963 -8.44% 2022-03-31
Fidelity 6560111 0.33% 877251 15.44% 2022-04-30
American Funds American Mutual Fund 6657396 0.34% -2011381 -23.20% 2022-03-31
Capital Group American Mutual Comp 6657396 0.34% -2011381 -23.20% 2022-03-31
Vanguard High Dividend Yield Index Fund 7700192 0.39% 149629 1.98% 2022-04-30
JPMorgan US Equity Fund 8435127 0.43% 284783 3.49% 2022-04-30
State Street S&P 500 Index Fund 8935271 0.45% 10300 0.12% 2022-04-30
JPM US Equity Income-Composite 9549304 0.49% -- -- 2022-03-31
JPMorgan Equity Income Fund 9549304 0.49% -- -- 2022-04-30
DWS Top Dividende 6888229 0.35% 19 -- 2022-03-31
Capital Group Growth Fnd of Amer Comp 7898084 0.40% 2303797 41.18% 2021-12-31
American Funds American Balanced Fund 7232529 0.37% -271382 -3.62% 2021-12-31
American Funds Growth Fund of Amer 7898084 0.40% 2303797 41.18% 2021-12-31
American Funds Invmt Co of Amer 6802267 0.35% -- -- 2021-09-30
Liberty One Spectrum 24197657 1.23% -1730291 -6.67% 2021-09-30
T. Rowe Price U.S. Value Equity Trust 7287958 0.37% -350214 -4.59% 2020-12-31
T. Rowe Price Value Fund 11821184 0.60% -792800 -6.29% 2020-12-31
T. Rowe Price US Value Equity Strategy 11821184 0.60% -792800 -6.29% 2020-12-31
Russell Inv Tax-Managed DI Large Cap SMA 1959074000 99.96% 1959074000 -- 2020-12-31
iShares MSCI USA Min Vol Factor ETF 6401414 0.33% -5204 -0.08% 2020-12-31
BlackRock Equity Index 5847392 0.30% -173315 -2.88% 2020-12-31
Russell 1000 Index Fund 5827053 0.30% -62715 -1.06% 2020-12-31
iShares Russell 1000 Value ETF 4996523 0.26% -5453 -0.11% 2020-12-31
CREF Stock Account 4105274 0.21% -408858 -9.06% 2020-10-31
PGIM Jennison Utility Fund 4000984 0.20% -43828 -1.08% 2020-10-31
iShares Core S&P 500 ETF 15248128 0.78% 1180 0.01% 2020-11-27
State Street S&P 500 Index Fund 8449096 0.43% -128000 -1.49% 2020-10-31
Schwab 3174624 0.16% -- -- 2020-10-31
Columbia Dividend Income Fund 3225000 0.16% 25000 0.78% 2020-10-31
NT S&P 500 Index Fund - DC - NL 3355160 0.17% -28434 -0.84% 2020-10-31
iShares Edge MSCI Min Vol USA ETF 2089031 0.44% -384 -0.02% 2020-07-31
Vanguard Wellington 3875449 0.81% -- -- 2020-03-31
Franklin Utilities 2600000 0.54% -- -- 2020-06-30
T. Rowe Price U.S. Value Equity SMA 4027271 0.84% 4026617 615690.69% 2020-03-31
FICP TEST Fund 116 3875449 0.81% 3875449 -- 2019-12-31
Pictet Global Sel Fd Glbl Utilities Eq 1883820 0.39% 54157 2.96% 2019-12-31
T. Rowe Price Growth Stock Fund 1856202 0.39% -303748 -14.06% 2019-09-30
T. Rowe Price Capital Appreciation Fund 2077256 0.43% 958800 85.73% 2019-09-30
Vanguard Equity Income Fund 1641789 0.34% -437209 -21.03% 2019-03-31
American Funds AMCAP Fund 1635580 0.34% -388120 -19.18% 2019-03-31
iShares Core MSCI Kokusai ETF 3521512 0.74% 3168 0.09% 2019-05-30
iShares Core S&P US Total Market ETF 3521512 0.74% 3168 0.09% 2019-05-30
iShares S&P 500 ETF 3521512 0.74% 3168 0.09% 2019-05-30
iShares Core S&P 500 ETF (CAD-Hedged) 3521512 0.74% 3168 0.09% 2019-05-30
iShares MSCI World ETF 3507976 0.73% 1152 0.03% 2019-05-23
iShares Core MSCI AllCntry Wld exCan ETF 3507976 0.73% 1152 0.03% 2019-05-23
VA CollegeAmerica AMCAP Fd 2023700 0.42% 68700 3.51% 2018-12-31
BlackRock Global Allocation Fund 1525352 0.32% 439046 40.42% 2018-10-31
OH Putnam Fidelity Spartan 500 Index 3580548 0.75% 103598 2.98% 2019-01-31
Vanguard Wellesley 1498423 0.31% -102664 -6.41% 2018-09-30
Vanguard Wellesley Income Fund 1498423 0.31% -102664 -6.41% 2018-09-30
Undrly L&G Diversified Life 2408827 0.50% 2245541 1375.22% 2018-09-30
Undrly L&G Pen PMC Diversified 2408827 0.50% 2245541 1375.22% 2018-09-30
Franklin Income Fund 1500000 0.31% -1000000 -40.00% 2017-09-30
Franklin Utilities Fund A 2850000 0.60% -- -- 2018-07-31
T. Rowe Price Value 3278941 0.70% 651300 24.79% 2018-06-30
Vanguard Dividend Appreciation ETF 3667075 0.78% 8203 0.22% 2018-07-31
Vanguard Institutional Index I 4560333 0.97% 4815 0.11% 2018-07-31
Vanguard 500 Index Inv 8536587 1.81% 8837 0.10% 2018-07-31
Vanguard Total Stock Mkt Idx 11858112 2.51% 50858 0.43% 2018-07-31
VA CollegeAmerica Amcap 529F 1955000 0.41% 1955000 -- 2018-06-30
Vanguard Value Index Inv 2618823 0.56% 63817 2.50% 2018-07-31
Vanguard Equity-Income Inv 2479466 0.53% 13891 0.56% 2018-06-30
Vanguard Utilities ETF 2051215 0.43% 65630 3.31% 2018-07-31
JPMorgan Equity Income Select 1319507 0.28% 16511 1.27% 2018-07-31
iShares Russell 1000 Value 1303756 0.28% -1308 -0.10% 2018-09-12
CREF Stock R1 1345703 0.29% -23365 -1.71% 2018-07-31
Vanguard High Dividend Yield ETF 1371487 0.29% 1603 0.12% 2018-07-31
Vanguard Wellesley Income 1601087 0.34% -- -- 2018-06-30
Fidelity Spartan 3140328 0.67% 37040 1.19% 2018-07-31
BlackRock Equity Dividend Inv B 1302592 0.28% -14225 -1.08% 2018-07-31
Vanguard Windsor 1281402 0.27% 24982 1.99% 2018-03-31
T. Rowe Price Growth Stock 1714550 0.36% -625600 -26.73% 2018-03-31
BlackRock Global Allocation Inv B 1184276 0.25% -70284 -5.60% 2018-01-31
iShares Select Dividend 3078665 0.68% 540850 21.31% 2018-03-14
Franklin Income A 1500000 0.32% -1000000 -40.00% 2017-09-30
MFS Utilities A 1603367 0.34% -44384 -2.69% 2016-12-31
Utilities Select Sector SPDR® Fund 5074956 1.10% -16965 -0.30% 2015-11-19
BlackRock Equity Dividend Fund 2667521 0.60% -40000 -1.50% 2015-09-30
Pictet Global Sel Glbl Utilities Eq P 2702633 0.60% -296543 -9.90% 2014-12-31
SPDR® S&P 500® ETF Trust 4091878 0.90% -- -- 2015-09-30
SPDR® S&P 500 ETF 4476371 1.00% 33669 0.80% 2015-11-19
Vanguard Dividend Appreciation Index 2534112 0.60% -5065 -0.20% 2015-10-31