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Dell Technologies, Inc. (dell)

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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
FMR Inc 6940904 0.93% -950719 -12.05% 2021-12-31
Dodge & Cox 22171490 2.96% -11305272 -33.77% 2022-03-31
BlackRock Inc 20380718 2.72% 20380718 -- 2021-12-31
Vanguard Group Inc 17498328 2.34% 301756 1.75% 2022-03-31
BlackRock Fund Advisors 9784643 1.31% 2327756 31.22% 2022-05-31
Temasek Holdings Ltd. 8848147 1.18% -- -- 2022-03-31
Vanguard Investments Australia Ltd 8152510 1.09% 11347 0.14% 2022-05-31
State Street Corporation 7107031 0.95% 138821 1.99% 2022-03-31
Fidelity Management & Research Company LLC 7103234 0.95% -2330400 -24.70% 2022-05-31
Capital Research and Management Company 6016031 0.80% -5622250 -48.31% 2022-05-31
LAURION CAPITAL MANAGEMENT LP 2745954 0.37% 2745954 -- 2021-12-31
Columbia Mgmt Investment Advisers, LLC 2781756 0.37% 294856 11.86% 2021-12-31
Ameriprise Financial Inc 2835588 0.38% 319328 12.69% 2021-12-31
Geode Capital Management, LLC 2964351 0.40% 2964351 -- 2021-12-31
Lyrical Asset Management, L.P 3116999 0.42% -2206562 -41.45% 2022-05-31
Third Point, LLC 3600000 0.48% 240000 7.14% 2021-12-31
Arrowstreet Capital Limited Partnership 4266806 0.57% 2848904 200.92% 2021-12-31
Lyrical Asset Management LP 5238044 0.70% 100912 1.96% 2022-03-31
LSV Asset Management 5761053 0.77% 737383 14.68% 2022-03-31
Elliott Investment Management L.P. 9483877 1.25% -15349066 -61.81% 2021-12-31
Capital World Investors 8069564 1.06% 11576 0.14% 2021-09-30
GIC Private Ltd 9003525 1.18% -9051006 -50.13% 2020-12-31
Third Point LLC 3600000 0.47% 240000 7.14% 2021-12-31
Morgan Stanley - Brokerage Accounts 2918582 0.38% 702079 31.68% 2021-09-30
Canyon Capital Advisors LLC 2949800 0.39% -615200 -17.26% 2021-09-30
NAYA CAPITAL MANAGEMENT UK LTD 4413489 0.58% -122846 -2.71% 2021-09-30
Capital Group 5976324 0.78% -- -- 2021-12-31
Credit Suisse First Boston (CSFB) 2696425 0.35% 2650799 5809.84% 2021-03-31
Capital Guardian Trust Company 3000000 0.39% -250000 -7.69% 2021-07-31
NORGES BANK 2658999 0.35% 1030323 63.26% 2020-12-31
Point72 Asset Management, L.P. 2732693 0.36% 217200 8.63% 2020-12-31
UBS Asset Mgmt Americas Inc 2997538 0.39% 1023990 51.89% 2020-12-31
Susan Lieberman Dell Separate Property Trust 32890896 4.31% 32890896 -- 2019-12-31
First Pacific Advisors, LP 2825671 0.38% -- -- 2020-09-30
Fidelity International Ltd 3776091 0.50% -1320018 -25.90% 2020-09-30
FIL Fund Management Limited 2312336 0.31% -769980 -24.98% 2020-11-30
Dodge & Cox 34736806 4.65% -1292743 -3.59% 2020-09-30
SILVER LAKE GROUP, L.L.C. 119336038 15.98% -17650820 -12.89% 2019-07-02
Lakewood Capital Management, LP 3558077 0.48% 654300 22.53% 2020-03-31
UBS Group AG 3480617 0.48% 2277730 189.36% 2020-03-31
Elliott Management Corp 15128712 2.11% 2128712 16.37% 2019-12-31
Nuveen Asset Management, LLC 2398806 0.33% 1169371 95.11% 2019-12-31
Whitebox Advisors, LLC 2651352 0.37% 291071 12.33% 2019-12-31
Nitorum Capital, L.P. 1624382 0.23% 17772 1.11% 2019-12-31
TIAA Investments 1788329 0.25% 686503 62.31% 2020-03-31
Nomura Holdings Inc 1525981 0.21% -164311 -9.72% 2019-09-30
MSD Partners, L.P. 2491140 0.35% -- -- 2019-09-30
MSD Capital LP 4539932 0.63% -- -- 2019-09-30
Investec Asset Management Ltd 1895622 0.26% -37878 -1.96% 2019-09-30
Caisse De Depot Et Placement Du Quebec 2742352 0.38% 2543294 1277.66% 2019-09-30
Fidelity Management & Research Company 1633888 0.23% -2768789 -62.89% 2019-12-31
Fidelity Management and Research Company 2506330 0.35% 1364494 119.50% 2019-06-30
Renaissance Technologies Corp 2855345 0.40% -244000 -7.87% 2019-06-30
HighVista Strategies LLC 1491843 0.21% 1491843 -- 2019-06-30
Goldman Sachs Group Inc 1506220 0.21% -527396 -25.93% 2019-03-31
Citadel Advisors Llc 1508027 0.21% 1499496 17577.02% 2019-03-31
Man Group Ltd 2116790 0.29% 1947497 1150.37% 2019-03-31
Northern Trust Corp 1181106 0.16% 424806 56.17% 2019-03-31
Icahn Associates Corp 12798345 1.78% 12798345 -- 2018-12-31
ICAHN CARL C 12798345 1.78% 12798345 -- 2018-12-31
Pentwater Capital Management LP 1717098 0.24% 1717098 -- 2018-12-31
P Schoenfeld Asset Mgmt LP(NY) 1534538 0.21% 1534538 -- 2018-12-31
UBS O'Connor LLC 1413428 0.20% 1413428 -- 2018-12-31
Citigroup Inc 2425437 0.34% 2425437 -- 2018-12-31
Farallon Capital Management, L.L.C. 3572062 0.50% 3572062 -- 2018-12-31
PRIMECAP Management Company 1488972 0.21% 1488972 -- 2018-12-31
Barclays Global Investors 417539 0.06% 61179 17.17% 2019-01-31
BlackRock Advisors LLC 486110 0.07% 486110 -- 2019-01-31
First Trust Advisors L.P. 638341 0.09% 12908 2.06% 2019-01-31
Dimensional Fund Advisors LP 719937 0.10% 719937 -- 2019-01-31
Fidelity SelectCo, LLC 958771 0.13% 905768 1708.90% 2019-01-31
Teachers Advisors LLC 247722 0.03% 247722 -- 2019-01-31
KBC Asset Management NV 350879 0.05% 350879 -- 2019-01-31
Russell Investment Management, LLC 280381 0.04% 280381 -- 2019-01-31
AXA Equitable Funds Management Group, LLC 218139 0.03% 218139 -- 2019-01-31
SSGA Funds Management Inc 240363 0.03% 2215 0.93% 2019-01-31
New York Life Investment Management LLC 246093 0.03% 246093 -- 2019-01-31
Charles Schwab Investment Management Inc 371377 0.05% 129265 53.39% 2019-01-31
Advanced Series Trust 254845 0.04% 254845 -- 2019-01-31
Pictet Asset Management (Europe) SA 255624 0.04% 255623 25562300.00% 2019-01-31
Strategic Advisers LLC 158300 0.02% 158300 -- 2019-01-31
FMR Co., Inc. (FMRC) 184111 0.03% 163180 779.61% 2019-01-31
KBC Fund Management Limited 155314 0.02% 155314 -- 2019-01-31
Invesco Capital Management LLC 144216 0.02% -- -- 2019-01-31
Invesco PowerShares Capital Mgmt LLC 18221936 1.00% 55756 0.30% 2013-06-30
Northern Trust Investments, N.A. 19391711 1.10% 21680 0.10% 2013-06-30
Vanguard Group, Inc. 66594297 3.80% 1628476 2.50% 2013-06-30
Highfields Capital Management LP 32829515 1.90% 9958396 43.50% 2013-06-30
T. Rowe Price Associates, Inc. 55190760 3.10% -16675773 -23.20% 2013-06-30
State Street Corp 59910377 3.40% -782367 -1.30% 2013-06-30
Southeastern Asset Management Inc. 64516552 3.70% -4954277 -7.10% 2013-09-11
Franklin Mutual Advisers, LLC 32224075 1.80% 22141631 219.60% 2013-06-30
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
CREF Stock Account 955039 0.13% -3467 -0.36% 2022-03-31
Vanguard Total Stock Market Index Fund 7986519 1.07% 7186 0.09% 2022-04-30
Vanguard Extended Market Index Fund 3827185 0.51% 5967 0.16% 2022-04-30
iShares MSCI USA Min Vol Factor ETF 3079436 0.41% 3079436 -- 2022-05-31
Vanguard Value Index Fund 2296530 0.31% 9688 0.42% 2022-04-30
Pacer US Cash Cows 100 ETF 2269026 0.30% 38130 1.71% 2022-05-27
Capital Group New Economy Comp 2187537 0.29% -- -- 2021-09-30
American Funds New Economy Fund 2187537 0.29% -- -- 2021-09-30
Lyrical U.S. Value Equity - CS 1911839 0.26% -2260001 -54.17% 2022-03-31
Columbia Seligman Tech & Info Fd 1898536 0.25% 42600 2.30% 2022-04-30
Dodge & Cox Balanced Fund 1522083 0.20% -563443 -27.02% 2022-03-31
Dodge & Cox Balanced Composite 1522083 0.20% -563443 -27.02% 2022-03-31
Vanguard Information Technology Index Fd 1387175 0.19% 14320 1.04% 2022-04-30
State Street Russell Small/Mid Cap 1386360 0.19% 24800 1.82% 2022-04-30
Lyrical U.S. Value Equity ¨C EQ 1200480 0.16% 52887 4.61% 2022-03-31
CREF Global Equities Account 1154845 0.15% 974 0.08% 2022-03-31
Fidelity 1047264 0.14% -- -- 2021-10-31
Dodge & Cox Stock Fund 13656388 1.83% -6390529 -31.88% 2022-03-31
Dodge & Cox Global Stock Fund 879843 0.12% -1603700 -64.57% 2022-03-31
Fidelity Contrafund Commingled Pool 966435 0.13% 8866 0.93% 2022-03-31
FPA Contrarian Value 1192689 0.16% -- -- 2021-12-31
Columbia Seligman Technology Growth 1596236 0.21% 206336 14.85% 2021-06-30
Capital Group U.S. Core Plus FI 2000000 0.26% -1000000 -33.33% 2021-06-30
Dodge & Cox Worldwide Global Stk (UCITS) 1219122 0.16% -24400 -1.96% 2021-12-31
FPA Crescent Fund 1192689 0.16% -- -- 2021-12-31
Capital Group New Perspective Comp 1554358 0.20% -- -- 2021-09-30
American Funds IS 2000000 0.26% -- -- 2021-09-30
Capital Group Fundamental Invtrs Comp 2056672 0.27% -- -- 2021-09-30
American Funds Fundamental Invs 2056672 0.27% -- -- 2021-09-30
American Funds New Perspective Fund 1554358 0.20% -- -- 2021-09-30
Columbia Seligman Comms & Info Fd 1596236 0.21% 206336 14.85% 2021-04-30
Fidelity Global Technology Fund 1307846 0.17% -719837 -35.50% 2020-10-31
Dodge & Cox Global Stock Fund 2419943 0.32% -408000 -14.43% 2020-09-30
Dodge & Cox Balanced Composite 2994468 0.40% -164100 -5.20% 2020-09-30
Dodge & Cox Balanced Fund 2994468 0.40% -164100 -5.20% 2020-09-30
Dodge & Cox Stock Fund 20570417 2.75% -500000 -2.37% 2020-09-30
Lyrical Asset Management, L.P. - UBS 1646722 0.23% -31092 -1.85% 2020-06-30
Lyrical U.S. Value Equity - CS - UBS 1853472 0.26% -441264 -19.23% 2020-06-30
Capital Group Growth Fnd of Amer Comp 1920517 0.27% -221191 -10.33% 2020-03-31
American Funds Growth Fund of Amer 1920517 0.27% -221191 -10.33% 2020-03-31
Dodge & Cox Worldwide Global Stk (UCITS) 1261422 0.18% 65600 5.49% 2020-03-31
Dodge & Cox Worldwide US Stock Fund 867114 0.12% 130000 17.64% 2020-03-31
Columbia Seligman Comms & Info Fd 923500 0.13% -9200 -0.99% 2020-03-31
Russell 1000 Index Fund 449517 0.06% -- -- 2019-11-30
iShares Edge MSCI USA Momentum Fctr ETF 461789 0.06% 302 0.07% 2019-10-31
Vanguard US Growth Portfolio 389089 0.05% 389089 -- 2019-06-30
Vanguard PrimeCap Fund 441497 0.06% -421789 -48.86% 2019-03-31
First Trust Technology AlphaDEX 696796 0.10% -1026 -0.15% 2019-06-30
BlackRock Advantage Large Cap Core Fund 469737 0.07% -28021 -5.63% 2019-05-31
Vanguard Mid-Cap Index Fund 1856228 0.26% 1184 0.06% 2019-05-31
Merger Fund 407200 0.06% -28124 -6.46% 2019-03-31
Vanguard Mid-Cap Value Index Fund 704482 0.10% 2226 0.32% 2019-05-31
iShares Russell 1000 Value ETF 454203 0.06% 528 0.12% 2019-06-27
CGM Focus Fund 590000 0.08% 590000 -- 2018-12-31
iShares Russell Mid-Cap ETF 375580 0.05% -- -- 2019-03-29
DFA US Large Cap Value Portfolio 393730 0.05% 244 0.06% 2019-02-28
iShares Expanded Tech-Software Sect ETF 383646 0.05% 1476 0.39% 2019-02-28
iShares Russell Mid-Cap Value ETF 368634 0.05% -286 -0.08% 2019-02-28
OMIM GBP Dodge & Cox Global Stock 337922 0.05% 337922 -- 2018-12-31
BlackRock Russell 1000 Index Fund 417539 0.06% 61179 17.17% 2019-01-31
Vanguard Five Hundred Index Fund 14154911 0.80% 97542 0.70% 2013-07-31
SPDR S&P 500 14709947 0.80% -- -- 2013-10-25
T. Rowe Price Equity Income Fund 16500000 0.90% -- -- 2013-06-30
SunAmerica Focused Dividend Strategy Por 17970949 1.00% 2567779 16.70% 2013-08-31
PowerShares QQQ Trust, Series 1 19167567 1.10% 165034 0.90% 2013-10-25
Vanguard Total Stock Mkt Idx 21321402 1.20% 110282 0.50% 2013-07-31
Vanguard Institutional Index Fund 13930620 0.80% -18200 -0.10% 2013-07-31
Fidelity Ser Intrinsic Opportunities Fd 11500000 0.70% 10250000 820.00% 2013-07-31
Mutual Global Discovery Fund 9978184 0.60% -2288275 -18.60% 2013-09-30
Yacktman Fund 9272000 0.50% 2835000 44.00% 2013-09-30
SSgA S&P 500 Index Fund - Class I 8771252 0.50% -35662 -0.40% 2013-03-31
Assumption/Fidelity Monthly Income 8500000 0.50% 500000 6.20% 2013-06-30
Yacktman Focused Fund 8180000 0.50% 2480000 43.50% 2013-09-30
Mutual Shares Fund 7211528 0.40% -1653880 -18.70% 2013-09-30
Longleaf Partners Fund 27939000 1.60% -2939000 -9.50% 2013-06-30