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Pinduoduo, Inc. (pdd)

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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
IDG China Venture Capital Fund IV Associates L.P. 9680289 0.83% -- -- 2020-03-31
HSBC Holdings PLC 10446186 0.90% -1358662 -11.51% 2020-03-31
BlackRock Inc 11500769 0.99% 1490044 14.88% 2020-03-31
Goldman Sachs Group Inc 16520894 1.42% 15774516 2113.48% 2020-03-31
Fidelity Management & Research Company LLC 21089189 1.81% -2237983 -9.59% 2020-07-31
Fidelity Management and Research Company 21553334 1.85% 1039557 5.07% 2020-03-31
FMR Inc 22354981 1.92% 1100562 5.18% 2020-03-31
Baillie Gifford & Co Limited. 27255238 2.34% 10301190 60.76% 2020-03-31
Tencent Holdings Ltd 792622428 68.19% 792622428 -- 2020-03-30
Vanguard Group Inc 4278641 0.37% 136598 3.30% 2020-03-31
Hillhouse Capital Advisors, Ltd. 8729366 0.75% -- -- 2020-03-31
State Street Corporation 4734349 0.41% 738120 18.47% 2020-03-31
SCGGF III - ENDURANCE PARTNERS MANAGEMENT, L.P. 5263157 0.45% -- -- 2020-03-31
SC US (TTGP), LTD. 5263157 0.45% -- -- 2020-03-31
Tiger Technology Management LLC 5935004 0.51% -- -- 2020-03-31
BlackRock Fund Advisors 6753883 0.58% 77020 1.15% 2020-07-31
Bank of America Corp 7713457 0.66% 6706314 665.88% 2020-03-31
Renaissance Technologies Corp 7871474 0.68% 859900 12.26% 2020-03-31
Altimeter Capital Management, LLC 8690000 0.75% -- -- 2020-03-31
Fisher Asset Management, LLC 4121835 0.35% 4121835 -- 2020-03-31
Fidelity SelectCo, LLC 5092387 0.44% 581400 12.89% 2020-05-31
Fidelity Management & Research Company 22906427 1.97% -2652451 -10.38% 2020-05-31
SC China Holding Ltd 2631578 0.23% -- -- 2019-12-31
SRS Investment Management, LLC 3560712 0.31% -2222723 -38.43% 2019-12-31
Morgan Stanley - Brokerage Accounts 3762056 0.32% -939744 -19.99% 2019-12-31
Sylebra HK Co Ltd 2333804 0.20% -1567411 -40.18% 2019-12-31
Sumitomo Mitsui Trust Holdings Inc 2621749 0.23% -1281075 -32.82% 2019-12-31
Krane Funds Advisors LLC 3092357 0.27% 172147 5.90% 2019-09-30
Nikko Asset Management Americas Inc 2983287 0.26% -352452 -10.57% 2019-09-30
Manufacturers Life Insurance Co 3001924 0.26% 2954524 6233.17% 2019-06-30
OppenheimerFunds Inc 5049681 0.43% -10840389 -68.22% 2019-03-31
MARSHALL WACE ASIA Ltd 2876721 0.25% 2865258 24995.71% 2019-03-31
UBS Group AG 2761604 0.24% 2397177 657.79% 2019-03-31
Hillhouse Capital Management, Ltd. 2169449 0.19% 367658 20.41% 2019-06-30
Greenwoods Asset Management Ltd 2512255 0.22% -1565370 -38.39% 2019-06-30
Sequoia Capital 1911000 0.16% 1911000 -- 2019-03-31
SCGE MANAGEMENT, L.P. 1911000 0.16% 1911000 -- 2019-03-31
Tairen Capital Ltd 3801676 0.33% 3801676 -- 2019-03-31
Fred Alger Management Inc 1706694 0.15% 1706694 -- 2019-03-31
BlackRock Japan Co Ltd 1836658 0.16% -- -- 2019-05-31
BlackRock Asset Management Canada Ltd 8648532 0.74% 267 -- 2019-05-31
TB Alternative Assets Ltd. 1535410 0.14% -319152 -17.21% 2019-03-31
Principal Global Investors, LLC 1095453 0.10% 205534 23.10% 2019-04-30
Citigroup Inc 3034709 0.27% 3031827 105198.72% 2018-12-31
OFI Global Asset Management, Inc. 4561856 0.41% -6214207 -57.67% 2019-04-30
JF Asset Management Ltd 1039586 0.09% -90028 -7.97% 2019-04-30
J. P. Morgan Chase Bank NA 1469161 0.13% 1469161 -- 2018-09-30
JPMorgan Chase & Co 2198749 0.20% 2198749 -- 2018-09-30
Yong Rong (HK) Asset Management Ltd 2200000 0.20% 2200000 -- 2018-09-30
Coatue Management LLC 1100000 0.10% 1100000 -- 2018-09-30
Viking Global Investors LP 1412260 0.13% 1412260 -- 2018-09-30
Capital World Investors 7670545 0.69% 7670545 -- 2018-09-30
Capital Research and Management Company 5934178 0.54% 5758598 3279.76% 2018-12-31
Capital Research & Mgmt Co - Division 3 1087600 0.10% 1087600 -- 2018-09-30
1832 Asset Management L.P 516900 0.05% 516900 -- 2018-11-30
Pacific Life Fund Advisors LLC (PLFA) 620000 0.06% 7460 1.22% 2018-11-30
Jones Day 632170 0.06% -720 -0.11% 2018-11-30
Baillie Gifford Overseas Limited 798805 0.07% 20602 2.65% 2018-11-30
BAMCO Inc 396948 0.04% 396948 -- 2018-11-30
Wells Fargo & Co 364378 0.03% 364378 -- 2018-09-30
Franklin Advisers, Inc. 348640 0.03% 346200 14188.52% 2018-11-30
JP Morgan Asset Management (UK) Ltd 297530 0.03% 297530 -- 2018-09-30
J.P. Morgan Investment Management, Inc. 276151 0.02% -63367 -18.66% 2018-11-30
JPMorgan Asset Management Inc 215324 0.02% 5724 2.73% 2018-10-31
BlackRock (Luxembourg) SA 200149 0.02% 200149 -- 2018-10-31
BlackRock Advisors LLC 190969 0.02% 190969 -- 2018-10-31
JF Asset Management Limited 1119785 0.09% 1119785 -- 2018-07-31
Teachers Advisors Inc 586700 0.05% 586700 -- 2018-07-31
J.P. Morgan Investment Management Inc 548556 0.05% 548556 -- 2018-07-31
J P Morgan Asset Management (UK) Ltd 489295 0.04% 489295 -- 2018-07-31
Franklin Advisers Inc 346200 0.03% 346200 -- 2018-07-31
Robeco Institutional Asset Mgmt BV 183269 0.02% 183269 -- 2018-07-31
Strategic Advisers Inc 160300 0.01% 160300 -- 2018-07-31
Wells Fargo Funds Management LLC 154537 0.01% 154537 -- 2018-07-31
CI Investments Inc 144000 0.01% 144000 -- 2018-07-31
Charles Schwab Investment Management Inc 99231 0.01% -- -- 2018-09-13
FIL Investment Services (UK) Ltd 40800 -- 40800 -- 2018-07-31
Hartford Funds Management Company, LLC 32472 -- 32472 -- 2018-07-31
Neuflize OBC Investissements 12329 -- 12329 -- 2018-07-31
AST Investment Services Inc 30666 -- 30666 -- 2018-07-31
Putnam Investments 16887 -- 16887 -- 2018-07-31
Guidestone Capital Management 2713 -- 2713 -- 2018-07-31
Russell Investments Ireland Limited 6249 -- 6249 -- 2018-07-31
Renaissance Capital LLC 9450 -- -- -- 2018-08-23
HSBC Global Asset Mgmt (Canada) Ltd 70 -- 70 -- 2018-07-31
HSBC Global Asset Management (UK) Ltd 307 -- 307 -- 2018-07-31
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
FIAM Emerging Markets Opports Cmgld Pl 549906 0.05% -109600 -16.62% 2020-06-30
Vanguard Total Intl Stock Idx Fund 4644903 0.40% 2726310 142.10% 2020-06-30
Vanguard Emerging Markets Stock Idx Fund 3735010 0.32% 2204188 143.99% 2020-06-30
Baillie Gifford L/T Glb Gr Invmt Fd 2332879 0.20% -- -- 2020-05-31
Scottish Mortgage Inv Tr 2087005 0.18% 112 0.01% 2020-05-31
KraneShares CSI China Internet ETF 1980768 0.17% -- -- 2020-07-31
Fidelity Advisor 1974116 0.17% -- -- 2020-06-30
iShares Core MSCI Emerging Markets ETF 1943151 0.17% -- -- 2020-07-31
BGF Asian Growth Leaders Fund 1210891 0.10% -522861 -30.16% 2020-04-30
iShares MSCI Emerging Markets ETF 961497 0.08% -3999 -0.41% 2020-07-31
Fisher Invts Instl Emerg Mkts Eq 664728 0.06% 61835 10.26% 2020-04-30
Fidelity 595300 0.05% -- -- 2020-06-30
iShares MSCI China ETF 573469 0.05% -- -- 2020-07-31
GS Global Future Technology Leaders Eq 568158 0.05% -187439 -24.81% 2020-06-30
Nordea 1 - Emerging Stars Equity Fund 1115551 0.10% 186386 20.06% 2020-03-31
Barings Hong Kong China Fund 661560 0.06% -- -- 2019-12-31
JPM China Fund 601795 0.05% -214464 -26.27% 2019-12-31
Dynamic Power Global Growth Class 1157400 0.10% 1157400 -- 2019-10-31
Swedbank Robur Globalfond 600000 0.05% -- -- 2019-12-31
EMQQ Emerging Markets Intrnt & Ecmrc ETF 755732 0.07% -- -- 2019-11-29
iShares Core MSCI EM IMI ETF 407571 0.04% -- -- 2019-08-30
ARK Web x.0 ETF 560295 0.05% -16980 -2.94% 2019-07-31
GAM Star China Equity 557985 0.05% -114950 -17.08% 2018-12-31
Principal LSF HK Eq 504910 0.04% -- -- 2019-05-31
Value Partners Classic 500784 0.04% 500784 -- 2018-12-31
iShares Core MSCI AllCntry Wld exCan ETF 1894928 0.16% -- -- 2019-05-23
iShares Core Growth ETF Portfolio 1894928 0.16% -- -- 2019-05-23
iShares Core Balanced ETF Portfolio 1894928 0.16% -- -- 2019-05-23
HSBC GIF Chinese Equity 544927 0.05% 541827 17478.29% 2019-02-28
iShares Core MSCI Emerging Mkts IMI ETF 1836658 0.16% -- -- 2019-05-30
HSBC Pooled Hong Kong Equity 521015 0.04% 521015 -- 2019-02-28
Alger Spectra Fund 787207 0.07% 787207 -- 2019-02-28
Oppenheimer Developing Markets Fund 4387210 0.39% -5973330 -57.65% 2019-03-31
Fidelity Contrafund Commingled Pool 468379 0.04% 468379 -- 2019-02-28
Pacific Select Emerging Markets Port 486040 0.04% -176660 -26.66% 2019-02-28
Baillie Gifford Emerging Markets Fund 488542 0.04% -369615 -43.07% 2018-12-31
Baron Emerging Markets Fund 536881 0.05% 194535 56.82% 2018-12-31
OFIGTC Emerging Markets Equity 563020 0.05% -182120 -24.44% 2019-02-28
Oppenheimer International Div Fund 414324 0.04% -417 -0.10% 2019-01-31
JPM Greater China Fund 327462 0.03% -19438 -5.60% 2019-01-31
Pictet TR - Divers Alpha 344268 0.03% 196073 132.31% 2018-12-31
Baillie Gifford Emerging Markets Gr Fd 422082 0.04% -- -- 2018-11-30
JPMorgan SAR Greater China Fund 225360 0.02% 22880 11.30% 2018-12-31
Pacific Horizon Investment Trust 206428 0.02% -22666 -9.89% 2018-09-30
Amplify Online Retail ETF 222289 0.02% -- -- 2018-12-31
American Funds New World Fund 5785300 0.52% 5785300 -- 2018-09-30
VA CollegeAmerica New Wld Fd 5785300 0.52% 5785300 -- 2018-09-30
Baillie Gifford Pacific Fund 362197 0.03% -54531 -13.09% 2018-09-30
Oppenheimer Developing Markets A 3210360 0.29% 3210360 -- 2018-07-31
Pacific Select Emerging Markets I 560040 0.05% 402950 256.51% 2018-08-31
CREF Growth R1 321584 0.03% 321584 -- 2018-07-31
Franklin DynaTech Fund A 233700 0.02% 233700 -- 2018-07-31
OFIGTC Emerging Markets Equity Fund-Class A 177560 0.02% 177560 -- 2018-07-31
JPMorgan International Uncons Eq A 257097 0.02% 257097 -- 2018-07-31
CREF Stock R1 150344 0.01% 150344 -- 2018-07-31
Strategic Advisers 160300 0.01% 160300 -- 2018-07-31
BlackRock Science & Technology Opp Inv A 175676 0.02% 175676 -- 2018-07-31
Wells Fargo Emerging Markets Equity A 143141 0.01% 143141 -- 2018-07-31
Fidelity VIP Technology Inv 123800 -- 123800 -- 2018-07-31
Vanguard Emerging Mkts Stock Idx Inv 106226 -- 106226 -- 2018-07-31
JPMorgan Global Allocation A 106245 -- 106245 -- 2018-07-31
Vanguard Total Intl Stock Index Inv 98573 -- 98573 -- 2018-07-31
Oppenheimer International Diversified A 95374 -- 95374 -- 2018-07-31
Schwab Emerging Markets Equity ETF 99231 -- -- -- 2018-08-23
GuideStone Funds Emerging Mkts Eq Instl 2713 -- 2713 -- 2018-07-31
Franklin Flex Cap Growth VIP 2 5000 -- 5000 -- 2018-07-31
Renaissance IPO ETF 9450 -- -- -- 2018-08-23
PF Emerging Markets P 13640 -- 13640 -- 2018-07-31
BlackRock Event Driven Equity Inv A 15293 -- 15293 -- 2018-07-31
Vanguard Total World Stock ETF 2219 -- 2219 -- 2018-07-31