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58同城

58.com Inc. (wuba)

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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
Lazard Asset Management LLC 1392434 0.94% 32195 2.37% 2020-03-31
BlackRock Inc 4134281 2.78% -28905 -0.69% 2020-03-31
Baillie Gifford & Co Limited. 4450959 2.99% 5750 0.13% 2020-03-31
Carmignac Gestion 4819123 3.24% 281863 6.21% 2020-03-31
Genesis Investment Management, LLP 4824511 3.24% -2048867 -29.81% 2020-06-30
Coronation Fund Managers Ltd 4908039 3.30% 661827 15.59% 2020-03-31
General Atlantic Llc 7150000 4.81% -- -- 2020-03-31
Standard Life Aberdeen PLC 7761542 5.22% 298322 4.00% 2020-03-31
T. Rowe Price Associates, Inc. 11660482 7.84% 1783325 18.06% 2020-03-31
Vanguard Group Inc 3666471 2.47% 115137 3.24% 2020-03-31
Ninety One UK Limited 3092779 2.08% -409937 -11.70% 2020-03-31
Krane Funds Advisors LLC 1433872 0.96% 355596 32.98% 2020-03-31
Carmignac Gestion Luxembourg S.A. 1457068 0.98% 35300 2.48% 2020-07-31
Platinum Investment Management Ltd 1880049 1.26% -20945 -1.10% 2020-07-31
Junked Platinum Investment Management Ltd 1927545 1.30% -508330 -20.87% 2020-03-31
State Street Corporation 1983954 1.33% 71880 3.76% 2020-03-31
Aberdeen Standard Investments Inc. 2137152 1.44% 902087 73.04% 2020-07-31
BlackRock Fund Advisors 2549956 1.72% 28703 1.14% 2020-07-31
Wellington Management Company LLP 3084446 2.07% 386118 14.31% 2020-03-31
IOOF Group 1486047 1.00% 197666 15.34% 2020-06-30
T. Rowe Price 1467940 0.99% 155372 11.84% 2020-06-30
Coronation Asset Management (PTY) Ltd 1431847 0.96% 376270 35.65% 2020-05-31
Genesis Asset Managers, LLP 1412930 0.95% -92434 -6.14% 2020-05-31
Dragoneer Investment Group, LLC 1371562 0.92% -70890 -4.91% 2019-12-31
Investec Asset Management Ltd 3502716 2.36% 150961 4.50% 2019-12-31
GMT Capital Corp 1197850 0.81% 271700 29.34% 2019-09-30
Lakewood Capital Management, LP 1244946 0.84% 40000 3.32% 2019-09-30
Genesis Fund Managers, LLP 7971754 5.36% 122911 1.57% 2019-06-30
Hillhouse Capital Advisors, Ltd. 2360742 1.59% 2360742 -- 2019-06-30
Ward Ferry Management (Bvi) Limited 1224730 0.82% 241700 24.59% 2019-06-30
Franklin Templeton Institutional, LLC 1260500 0.85% 631100 100.27% 2019-06-30
Franklin Resources Inc 1281836 0.86% 82 0.01% 2019-06-30
Marshall Wace Asset Management Ltd 1741676 1.17% 1569937 914.14% 2019-03-31
Acadian Asset Management LLC 1784062 1.20% 1343887 305.31% 2019-03-31
BlackRock Asset Management Canada Ltd 4286371 2.89% 29 -- 2019-05-31
Carmignac Gestion Luxembourg 1216098 0.82% -141279 -10.41% 2019-04-30
Hillhouse Capital Management, Ltd. 2638675 1.78% -2709998 -50.67% 2018-09-30
Fidelity Management and Research Company 1121229 0.76% -1996629 -64.04% 2018-09-30
FMR Inc 1190438 0.80% -2043400 -63.19% 2018-09-30
Franklin Advisers, Inc. 1445602 0.98% 536 0.04% 2018-09-30
John Hancock Advisers, LLC 1600353 1.08% 45188 2.91% 2018-11-30
Fidelity Management & Research Company 3600378 2.43% -1604487 -30.83% 2018-11-30
State Street Corp 1486055 1.01% 97142 6.99% 2018-06-30
Franklin Advisers Inc 1445066 0.98% -365834 -20.20% 2018-06-30
BlackRock Institutional Trust Company NA 1062485 0.72% -2862 -0.27% 2018-06-30
Fidelity International Ltd 1034684 0.70% -257782 -19.94% 2018-06-30
Merrill Lynch & Co Inc 1727331 1.17% 634208 58.02% 2018-03-31
Morgan Stanley & Co Inc 1525514 1.04% 729 0.05% 2018-03-31
Marshall Wace North America LP 700711 0.48% 206717 41.85% 2018-03-31
Ruane, Cunniff & Goldfarb Inc 1121037 0.76% -501718 -30.92% 2017-12-31
HSBC Holdings PLC 881424 0.60% 57982 7.04% 2017-12-31
Jericho Capital Asset Management LP 1191908 0.81% 141660 13.49% 2017-09-30
HSBC Bank China Co Ltd 808995 0.56% 4377 0.54% 2017-11-30
Credit Suisse First Boston (CSFB) 1036595 0.72% -6064 -0.58% 2016-09-30
Myriad Asset Management Ltd 1091076 0.75% -300000 -21.57% 2016-09-30
ClearView Life 2065341 1.43% -- -- 2016-12-31
SC China Holding Ltd 1267546 0.88% -- -- 2016-09-30
OZ Management LLC 2429822 1.68% -1197875 -33.02% 2016-09-30
Emerging Sovereign Group, LLC 3160410 2.18% 1040531 49.08% 2016-09-30
Tencent Holdings Ltd 4354079 3.13% -- -- 2015-12-11
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
DFA Emerging Markets Core Equity Fund 426578 0.29% -- -- 2020-06-30
Coronation Global Emerging Markets 1076251 0.72% -281461 -20.73% 2019-12-31
Carmignac Investissement 1125762 0.76% -- -- 2019-12-31
Vanguard Emerging Markets Stock Idx Fund 1340571 0.90% -22335 -1.64% 2020-06-30
Vanguard Total Intl Stock Idx Fund 1686688 1.13% -24128 -1.41% 2020-06-30
T. Rowe Price International Growth Eq 1776463 1.19% 130200 7.91% 2020-06-30
T. Rowe Price International Stock Fund 1776463 1.19% 130200 7.91% 2020-06-30
Carmignac Patrimoine 1940526 1.31% -- -- 2019-12-31
T. Rowe Price Science And Technology Fd 4858989 3.27% 210400 4.53% 2020-06-30
KraneShares CSI China Internet ETF 1006642 0.68% -- -- 2020-07-31
Ninety One GSF All China Equity Fund 498117 0.34% -66488 -11.78% 2020-04-30
AS SICAV I Emerging Markets Eq Fd 522704 0.35% -17353 -3.21% 2020-06-30
Invesco China Technology ETF 609124 0.41% -- -- 2020-07-31
Vanguard International Value Fund 666545 0.45% 13100 2.00% 2020-03-31
iShares Core MSCI Emerging Markets ETF 711181 0.48% -- -- 2020-07-31
The Genesis Emerging Mkts Invmt Co SICAV 724120 0.49% -6597 -0.90% 2020-07-31
Carmignac Emergents 730373 0.49% -- -- 2020-06-30
T. Rowe Price International Growth Eq Tr 886392 0.60% 54100 6.50% 2020-06-30
Emerging Markets Equity 899520 0.61% 17885 2.03% 2020-06-30
Aberdeen Emerging Mkts Fund 1004795 0.68% -182200 -15.35% 2020-06-30
Aberdeen Emerging Markets Equity-UBS 899520 0.61% 17885 2.03% 2020-06-30
Ninety One GSF Asian Equity Fund 712506 0.48% -199058 -21.84% 2020-05-31
T. Rowe Price International Discovery Fd 898001 0.60% 33334 3.86% 2020-03-31
T. Rowe Price Emerging Markets Stock Fd 822888 0.55% -48312 -5.55% 2020-03-31
T. Rowe Price International Small-Cap Eq 898001 0.60% 33334 3.86% 2020-03-31
Investec GSF Asian Equity Fund 911564 0.61% -63049 -6.47% 2020-04-30
Investec GSF All China Equity Fund 636955 0.43% 9796 1.56% 2020-01-31
Fullerton USD Income 2000000 1.35% 2000000 -- 2019-03-31
Genesis Emerging Markets Fund 565030 0.38% 10828 1.95% 2019-11-30
Baillie Gifford Global Alpha Growth Fund 526598 0.35% -- -- 2019-07-31
Franklin Intl Small Cap Fd 536600 0.36% -94500 -14.97% 2019-07-31
iShares MSCI Emerging Markets ETF 539527 0.36% -2943 -0.54% 2019-07-30
iShares Core MSCI Emerging Mkts IMI ETF 896453 0.60% -- -- 2019-05-30
iShares Core Growth ETF Portfolio 945231 0.64% -- -- 2019-05-23
iShares Core MSCI AllCntry Wld exCan ETF 945231 0.64% -- -- 2019-05-23
iShares Core Balanced ETF Portfolio 945231 0.64% -- -- 2019-05-23
T. Rowe Price New Asia Fund 458174 0.31% -8000 -1.72% 2018-12-31
Dynamic Power Global Growth Class 740300 0.50% -- -- 2018-11-30
AWI Aberdeen Global Emerging Markets Eq 463939 0.31% -- -- 2019-01-31
OMGB Coronation Glbl Em Mkts (USD) 511734 0.35% 511734 -- 2018-06-30
Janus Henderson China Opportunities Fund 775000 0.52% -- -- 2018-12-31
OMGB Investec GSF Asian Equity 805800 0.54% -- -- 2019-01-31
Franklin Intl Small Cap Growth Fd 631100 0.43% -- -- 2019-01-31
Lazard International Strategic Eq Port 796490 0.54% 72100 9.95% 2018-09-30
Fidelity 481400 0.32% 102200 26.95% 2018-10-31
JHancock International Growth Fund 1519119 1.03% 67973 4.68% 2018-06-30
Dodge & Cox International Stock Fund 638110 0.43% -599500 -48.44% 2017-09-30
Vanguard Emerging Mkts Stock Idx Inv 1407601 0.95% -8820 -0.62% 2018-07-31
Vanguard Total Intl Stock Index Inv 1369205 0.93% 29688 2.22% 2018-07-31
Franklin Intl Small Cap Growth Adv 821000 0.56% -- -- 2018-07-31
T. Rowe Price International Discovery 787767 0.53% 94000 13.55% 2018-06-30
iShares Core MSCI Emerging Markets 779878 0.47% -- -- 2018-09-12
Lazard International Strategic Eq Instl 724390 0.49% 238490 49.08% 2018-06-30
T. Rowe Price Emerging Markets Stock 695000 0.47% 300 0.04% 2018-06-30
Aberdeen Emerging Markets Instl 605555 0.41% 605555 -- 2018-08-31
Vanguard International Value Inv 545515 0.37% 13600 2.56% 2018-06-30
T. Rowe Price New Asia 416074 0.28% 32300 8.42% 2018-06-30
T. Rowe Price New America Growth 389400 0.26% 389400 -- 2018-06-30
Columbia Acorn International Z 315107 0.21% -- -- 2018-07-31
Guggenheim China Technology ETF 248063 0.16% 3082 1.26% 2018-09-14
JNL/Franklin Templeton Intl Sm Cap Gr B 259500 0.18% -57100 -18.04% 2018-06-30
Vanguard Global Equity Inv 193807 0.13% -10343 -5.07% 2018-06-30
iShares MSCI China 194987 0.12% -- -- 2018-09-12
Acadian Emerging Markets Instl 193283 0.13% 15008 8.42% 2018-07-31
JHancock International Growth A 1519119 1.03% 67973 4.68% 2018-06-30
CREF Stock R1 154000 0.10% 9800 6.80% 2018-04-30
DFA Emerging Markets Core Equity I 173271 0.12% -- -- 2018-05-31
T. Rowe Price Science & Tech 395420 0.27% -103100 -20.68% 2018-03-31
Fidelity VIP Contrafund Inv 651479 0.44% -132900 -16.94% 2018-04-30
EMQQ Emerging Markets Intrnt & Ecmrc ETF 239051 0.17% -- -- 2018-06-05
Fidelity VIP Balanced Inv 226638 0.15% 26609 13.30% 2017-12-31
Dodge & Cox International Stock 638110 0.44% -599500 -48.44% 2017-09-30
T. Rowe Price International Stock 757600 0.52% -541700 -41.69% 2017-09-30
VA CollegeAmerica Smcap World 529E 465000 0.32% -- -- 2017-09-30
Fidelity Advisor 219100 0.15% -- -- 2016-12-31
Fidelity Emerging Markets Equity Central 129690 0.09% -- -- 2016-09-30
JHVIT Science & Technology I 283500 0.20% 11581 4.26% 2016-12-31
VALIC Company I Science & Technology 348800 0.24% 15506 4.65% 2016-12-31
JHFunds2 Science & Technology 1 350363 0.24% 12647 3.74% 2016-12-31
T. Rowe Price Science And Technology Fun 1279000 1.10% 484600 61.00% 2015-09-30
Fidelity® Series International Growth 653900 0.60% 92000 16.40% 2015-09-30
Fidelity® Select Technology Portfolio 683164 0.60% 333400 95.30% 2015-09-30
Fidelity® Series Emerging Markets Fund 906707 0.80% 21400 2.40% 2015-09-30
T. Rowe Price New Horizons Fund 1251575 1.10% -470200 -27.30% 2015-09-30
VA CollegeAmerica Small Cap World 610000 0.50% -225000 -26.90% 2015-09-30
BlackRock Global Funds - China Fund 474818 0.40% -- -- 2015-07-31
Fidelity Advisor® Technology Fund 374500 0.30% 183300 95.90% 2015-09-30
Fidelity® Independence Fund 339600 0.30% -- -- 2015-09-30
Fidelity VIP Contrafund Portfolio 306255 0.30% -- -- 2015-09-30
Fidelity® Stock Selector All Cap Fund 294817 0.20% 144090 95.60% 2015-09-30
Fidelity® Balanced Fund 301218 0.30% -- -- 2015-09-30