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科磊公司

KLA Corp. (klac)

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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
Pictet Asset Management Ltd 2594944 1.63% 33661 1.31% 2020-03-31
BlackRock Fund Advisors 5728161 3.60% -616624 -9.72% 2020-06-30
State Street Corporation 6789455 4.26% -61663 -0.90% 2020-03-31
Capital Research & Mgmt Co - Division 3 8163085 5.13% 6557634 408.46% 2020-03-31
Capital Research and Management Company 8176807 5.13% 6317358 339.74% 2020-06-30
Wellington Management Company LLP 8675402 5.45% 422246 5.12% 2020-03-31
PRIMECAP Management Company 10337544 6.49% 52109 0.51% 2020-03-31
BlackRock Inc 11910969 7.48% -678395 -5.39% 2020-03-31
Vanguard Group Inc 18962767 11.91% 504689 2.73% 2020-03-31
Janus Capital Management LLC 4805199 3.02% 49862 1.05% 2020-06-30
Vanguard Investments Australia Ltd 4661087 2.93% -55257 -1.17% 2020-06-30
Fidelity Management and Research Company 2704226 1.70% -48204 -1.75% 2020-03-31
FMR Inc 2711622 1.70% -84959 -3.04% 2020-03-31
State Street Global Advisors 2817698 1.77% -10987 -0.39% 2020-06-30
John Hancock Investment Management LLC 3092769 1.94% 1071841 53.04% 2020-06-30
Fidelity International Ltd 3122666 1.96% 661871 26.90% 2020-03-31
Vanguard 3214530 2.02% -36961 -1.14% 2020-06-30
HHG PLC 3836149 2.41% 276081 7.75% 2020-03-31
Fidelity Management & Research Company LLC 4124121 2.59% -1597619 -27.92% 2020-06-30
Pictet Asset Management SA (Junked) 2594944 1.63% 32236 1.26% 2020-03-31
Geode Capital Management, LLC 2594422 1.63% -2676438 -50.78% 2020-03-31
Fidelity Management & Research Company 5320861 3.34% -307443 -5.46% 2020-05-31
Boston Partners Global Investors, Inc 5662316 3.56% 2611483 85.60% 2019-12-31
T. Rowe Price Associates, Inc. 4184084 2.63% 2003820 91.91% 2019-12-31
Pictet Asset Management S.A. 2143584 1.35% -126122 -5.56% 2020-02-29
Invesco Capital Management LLC 2311984 1.45% -38809 -1.65% 2020-02-29
Amvescap Plc. 3213921 2.02% 370250 13.02% 2019-09-30
Victory Capital Management Inc. 2383281 1.50% 1056361 79.61% 2019-09-30
Norinchukin Zenkyoren Asset Mgmt Co.,Ltd 20046905 12.59% 20026354 97447.10% 2020-01-31
Northern Trust Corp 2393606 1.50% 86714 3.76% 2019-06-30
Northern Trust Investments N A 2393606 1.50% 86714 3.76% 2019-06-30
Sunamerica Asset Management Corp 3969137 2.49% -258238 -6.11% 2019-06-30
American International Group Inc 3969137 2.49% -258238 -6.11% 2019-06-30
SunAmerica Asset Management, LLC 3659944 2.30% -160366 -4.20% 2019-10-31
Beutel, Goodman & Company Ltd. 2916982 1.83% 1464360 100.81% 2019-03-31
BlackRock Asset Management Canada Ltd 5115569 3.17% -992 -0.02% 2019-05-31
Nordea Investment Mgmt Bank Demark A/s 2511075 1.55% 856953 51.81% 2018-12-31
BlackRock Institutional Trust Company NA 4082655 2.67% -353727 -7.97% 2018-06-30
JPMorgan Chase & Co 2565753 1.68% 408014 18.91% 2018-06-30
State Street Corp 6422974 4.12% -4232 -0.07% 2018-06-30
Pictet Asset Management SA 2499611 1.60% 107166 4.48% 2018-06-30
Robeco Investment Management, Inc. 2092922 1.34% 29020 1.41% 2018-06-30
Invesco PowerShares Capital Mgmt LLC 2044867 1.31% 572384 38.87% 2018-06-30
Schroder Investment Management Group 2010940 1.28% 1394061 225.99% 2018-06-30
State Street Global Advisors (Aus) Ltd 1784813 1.14% 42964 2.47% 2018-09-12
FIL Fund Management Limited 1600315 1.03% -46328 -2.81% 2018-07-31
Parnassus Investments 1505015 0.96% -667975 -30.74% 2018-06-30
J.P. Morgan Investment Management Inc 1497953 0.96% 230378 18.17% 2018-06-30
Panagora Asset Management Inc 1280626 0.82% -10807 -0.84% 2018-03-31
AQR Capital Management LLC 1983475 1.27% 417302 26.64% 2018-03-31
LSV Asset Management 1303850 0.84% 206300 18.80% 2018-03-31
NORGES BANK 1490957 0.95% 181843 13.89% 2017-12-31
Two Sigma Investments LLC 1512896 0.97% 705464 87.37% 2017-12-31
J.P. Morgan Investment Management Inc. 6191475 3.95% -1887735 -23.37% 2017-10-31
J P Morgan Asset Management (UK) Ltd 2287261 1.44% 761744 49.93% 2017-09-30
Morgan Stanley & Co Inc 4031984 2.58% -836235 -17.18% 2016-09-30
Citigroup Inc 3690255 2.36% -2853191 -43.60% 2016-09-30
UBS Securities LLC 3683275 2.36% 19967 0.55% 2016-09-30
Cnh Partners, LLC 2786420 1.78% 278890 11.12% 2016-09-30
Westchester Capital Management LLC 2759216 1.77% -95298 -3.34% 2016-09-30
J.P. Morgan Securities Inc 2453840 1.57% -189143 -7.16% 2016-09-30
Barclays Capital Securities Limited 1694394 1.08% -3854100 -69.46% 2016-09-30
Magnetar Financial LLC 1584702 1.01% -5232 -0.33% 2016-09-30
Renaissance Technologies Corp 1322884 0.85% 647700 95.93% 2016-09-30
Capital World Investors 19944140 9.00% 1048662881 0.10% 1999-11-30
Capital Research Global Investors 12930550 9.00% 679888319 0.10% 1999-11-30
The Vanguard Group, Inc. 12672705 9.00% 666330829 0.10% 1999-11-30
BlackRock, Inc. 9684663 9.00% 509219581 0.10% 1999-11-30
State Street Corp. 8237282 9.00% 433116288 -- 1999-11-30
JPMorgan Chase& Co. 21388292 9.00% 1124596393 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 Growth Index Fund 1227179 0.77% 10397 0.85% 2020-05-31
Janus Mid Cap Growth Tr 1973353 1.24% -- -- 2020-03-31
Capital Group Wash Mutual Invtrs Comp 2496500 1.57% 2496500 -- 2020-03-31
American Funds Washington Mutual Fund 2496500 1.57% 2496500 -- 2020-03-31
American Funds American Balanced Fund 2513011 1.58% 2043000 434.67% 2020-03-31
Vanguard 500 Index Fund 3223065 2.02% -5319 -0.16% 2020-05-31
Vanguard Mid-Cap Index Fund 4117517 2.59% 23683 0.58% 2020-05-31
Vanguard Total Stock Market Index Fund 4547312 2.86% -22405 -0.49% 2020-05-31
Vanguard PrimeCap Fund 5181260 3.25% 135485 2.69% 2020-03-31
Janus Henderson Enterprise Fund 1973353 1.24% -- -- 2020-03-31
Vanguard Institutional Index Fund 1390096 0.87% -7095 -0.51% 2020-05-31
Fidelity Global Technology Fund 1260110 0.79% -284404 -18.41% 2020-05-31
Vanguard Equity Income Fund 1322290 0.83% -200169 -13.15% 2020-03-31
Fidelity 1394828 0.88% 2975 0.21% 2020-05-31
Columbia Dividend Value 1450000 0.91% 105700 7.86% 2020-03-31
American Funds Fundamental Invs 1508400 0.95% 1508400 -- 2020-03-31
Capital Group Fundamental Invtrs Comp 1508400 0.95% 1508400 -- 2020-03-31
Columbia Dividend Income Fund 1610000 1.01% 110000 7.33% 2020-05-31
SPDR 1680412 1.06% 2325 0.14% 2020-06-30
Invesco QQQ Trust 1729073 1.09% -5423 -0.31% 2020-06-30
Vanguard Capital Opportunity Fund 1199100 0.75% -9000 -0.74% 2019-12-31
iShares Core S&P 500 ETF 1193679 0.75% -1710 -0.14% 2020-04-30
Vanguard Wellesley 1160780 0.73% -217304 -15.77% 2019-12-31
Vanguard Wellesley Income Fund 1160780 0.73% -217304 -15.77% 2019-12-31
T. Rowe Price Lg-Cap Core Gr Strat-UBS 1148120 0.72% 191120 19.97% 2019-12-31
T. Rowe Price Blue Chip Growth Fund 1148120 0.72% 191120 19.97% 2019-12-31
Pictet-Robotics 1110044 0.70% -40565 -3.53% 2020-02-29
Vanguard Mid-Cap Growth Index Fund 1097945 0.69% 8276 0.76% 2020-01-31
Vanguard Windsor 1451935 0.91% -21785 -1.48% 2019-09-30
Vanguard PrimeCap Core Fund 1061700 0.67% -37200 -3.39% 2019-09-30
AIG Focused Dividend Strategy Fund 3591185 2.25% -63884 -1.75% 2019-08-31
Nochu JA Asset Plan Fund Growth 20046905 12.40% 20046905 -- 2018-11-16
iShares Core MSCI Kokusai ETF 1221161 0.76% 1100 0.09% 2019-05-30
iShares Core S&P 500 ETF (CAD-Hedged) 1221161 0.76% 1100 0.09% 2019-05-30
iShares S&P 500 ETF 1221161 0.76% 1100 0.09% 2019-05-30
iShares Core S&P US Total Market ETF 1221161 0.76% 1100 0.09% 2019-05-30
iShares MSCI World ETF 1207861 0.74% -2500 -0.21% 2019-04-25
PrimeCap Odyssey Stock Fund 1229500 0.75% -- -- 2018-12-31
OH Putnam Fidelity Spartan 500 Index 1146768 0.70% 33180 2.98% 2019-01-31
PrimeCap Odyssey Aggressive Growth Fund 764400 0.51% -- -- 2018-12-31
T. Rowe Price Global Technology Fund 2720054 1.78% -249856 -8.41% 2018-09-30
Fidelity Global Dividend Fund 769807 0.50% 213 0.03% 2018-09-30
Parnassus Core Equity Fund 1392411 0.91% -- -- 2018-06-30
Vanguard Capital Opportunity Inv 1305000 0.84% -- -- 2018-06-30
Vanguard Institutional Index I 1507681 0.97% 1307 0.09% 2018-07-31
Janus Enterprise D 1971653 1.26% -- -- 2018-06-30
T. Rowe Price Global Technology 2969910 1.90% 1178691 65.80% 2018-06-30
Vanguard 500 Index Inv 2821923 1.81% 3045 0.11% 2018-07-31
Vanguard Mid Cap Index I 3691752 2.36% 16793 0.46% 2018-07-31
Vanguard Total Stock Mkt Idx 3914868 2.51% 11206 0.29% 2018-07-31
Vanguard PRIMECAP Inv 6322700 4.05% 6900 0.11% 2018-06-30
PowerShares QQQ ETF 1277049 0.73% -4920 -0.38% 2018-09-13
JPMorgan Equity Income Select 1089092 0.70% 13641 1.27% 2018-07-31
Columbia Dividend Income Z 635648 0.41% -- -- 2018-07-31
PRIMECAP Odyssey Aggressive Growth 764400 0.49% -- -- 2018-06-30
Vanguard Mid-Cap Value ETF 676744 0.43% 11948 1.80% 2018-07-31
JHancock Disciplined Value Mid Cap A 798883 0.51% 28589 3.71% 2018-07-31
Vanguard PRIMECAP Core Inv 1127600 0.72% -- -- 2018-06-30
Fidelity Spartan 1038294 0.67% 12248 1.19% 2018-07-31
PRIMECAP Odyssey Stock 1229500 0.79% -- -- 2018-06-30
Vanguard Growth Index Inv 1097886 0.70% -3075 -0.28% 2018-07-31
First Trust NASDAQ-100-Tech Sector ETF 653110 0.43% -- -- 2018-09-05
Parnassus Core Equity Investor 1392411 0.89% -- -- 2018-06-30
PRIMECAP Odyssey Growth 698300 0.45% -- -- 2018-06-30
Vanguard Equity-Income Inv 699048 0.45% -- -- 2017-12-31
T. Rowe Price Mid-Cap Growth 750000 0.48% -745000 -49.83% 2017-12-31
Parnassus Mid-Cap 719872 0.46% 81901 12.84% 2018-02-28
Victory Sycamore Established Value R 671700 0.43% -- -- 2017-09-30
JHancock Disciplined Value I 844417 0.54% -- -- 2017-10-31
SunAmerica Focused Dividend Strategy A 2919646 1.86% -2210529 -43.09% 2017-10-31
Merger Investor 2217213 1.42% -98935 -4.27% 2016-09-30
JPMorgan Mid Cap Value Instl 1571897 1.01% -- -- 2016-12-31
VA CollegeAmerica Income Fund of America 6409290 4.10% -- -- 2015-09-30
VA CollegeAmerica Invmt Co of America 6276900 4.00% -- -- 2015-09-30
VA CollegeAmerica Growth Fund of America 4250000 2.70% -- -- 2015-09-30
VA CollegeAmerica Cap Income Builder 3000000 1.90% 3000000 -- 2015-09-30
VA CollegeAmerica Washington Mutual 8038000 5.10% -- -- 2015-09-30
VA CollegeAmerica American Balanced 2367000 1.50% 2367000 -- 2015-09-30
JPMorgan US Large Cap Core Plus Fund 1695482 1.10% -327701 -16.20% 2015-09-30
SPDR® S&P 500® ETF Trust 1551330 1.00% 26443 1.70% 2015-10-31
SPDR® S&P 500 ETF 1544655 1.00% 9256 0.60% 2015-11-27
American Funds NVIT Asset Allocation Fd 2500000 1.60% -- -- 2015-09-30