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货币单位:美元(USD)

赛门铁克公司

Symantec Corp. (symc)

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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
Columbia Mgmt Investment Advisers, LLC 12151359 2.09% 882370 7.83% 2022-03-31
2nd Vote Advisers, LLC 2660521343 -- 2147483647 6911961.00% 2022-05-31
Capital Research and Management Company 80480525 13.87% 998091 1.26% 2022-05-31
Vanguard Group Inc 65314797 11.26% 1344188 2.10% 2022-03-31
Capital World Investors 53179973 9.17% 170809 0.32% 2022-03-31
BlackRock Inc 46285465 7.98% 1248493 2.77% 2021-12-31
BlackRock Fund Advisors 38866113 6.70% 3377892 9.52% 2022-05-31
Fidelity Management & Research Company LLC 30736061 5.30% -4390954 -12.50% 2022-05-31
Capital Group 28097098 4.84% 2195884 8.48% 2022-05-31
State Street Corporation 27137453 4.68% 1192479 4.60% 2022-03-31
FMR Inc 24484914 4.22% 201661 0.83% 2022-03-31
SPDR State Street Global Advisors 12475276 2.15% 249589 2.04% 2022-05-31
J.P. Morgan Investment Management, Inc. 14294137 2.46% -1613940 -10.15% 2022-05-31
Vanguard Investments Australia Ltd 16354593 2.82% 35989 0.22% 2022-05-31
Starboard Value LP 16704454 2.88% -- -- 2022-03-31
AllianceBernstein L.P. 19120616 3.30% 1206632 6.74% 2022-03-31
John Hancock Investment Management LLC 19503546 3.36% 5685720 41.15% 2022-05-31
Boston Partners Global Investors, Inc 22434260 3.87% 4748508 26.85% 2021-12-31
Franklin Resources Inc 12060790 2.08% 33584 0.28% 2021-12-31
Franklin Mutual Advisers, LLC 11784748 2.02% 1648520 16.26% 2021-12-31
FMR LLC 34846767 5.99% 34846767 -- 2020-12-31
Ameriprise Financial Inc 11018526 1.89% -616016 -5.29% 2021-09-30
Geode Capital Management, LLC 11149289 1.92% 354138 3.28% 2021-09-30
HHG PLC 11219678 1.93% 973843 9.50% 2021-09-30
T. Rowe Price Associates, Inc. 11602424 1.99% 1906285 19.66% 2021-09-30
State Street Global Advisors 10516931 1.81% 154854 1.49% 2021-11-30
JPMorgan Chase & Co 12028936 2.07% -1114745 -8.48% 2021-06-30
Starboard Principal Co GP LLC 21104454 3.63% 274186 1.32% 2021-03-31
Fidelity Management and Research Company 27560424 4.74% -2363738 -7.90% 2021-03-31
Strategic Advisers LLC 10937703 1.89% 1478144 15.63% 2021-06-30
Fidelity SelectCo, LLC 9877016 1.70% 123280 1.26% 2021-04-30
Russell Investments Group, LLC 591870000 -- 591870000 -- 2021-02-28
Goldman Sachs Group Inc 10248972 1.73% -395510 -3.72% 2020-09-30
Fidelity Investments 9889500 1.67% -657331 -6.23% 2021-01-31
Fidelity Management & Research Company LLC 24236600 4.09% 1403003 6.14% 2020-11-30
Renaissance Technologies Corp 9907138 1.68% 7864600 385.04% 2020-06-30
AQR Capital Management LLC 13086722 2.21% 12330292 1630.06% 2020-03-31
Fidelity Management & Research Company 17899947 2.90% -1876519 -9.49% 2020-05-31
Beutel, Goodman & Company Ltd. 9899261 1.60% 9899261 -- 2019-12-31
Nomura Holdings Inc 21495001 3.48% 21495001 -- 2019-12-31
Amvescap Plc. 10101784 1.63% -971912 -8.78% 2019-09-30
UBS Group AG 9741273 1.58% -5486864 -36.03% 2019-09-30
Cambridge Global Asset Management 8491900 1.37% -239221 -2.74% 2020-02-29
Pictet Asset Management Ltd 7529266 1.22% 2498141 49.65% 2019-09-30
Pictet Asset Management SA (Junked) 7529266 1.22% 2498141 49.65% 2019-09-30
Pictet Asset Management S.A. 7480183 1.21% 432436 6.14% 2020-02-29
Invesco Capital Management LLC 9065122 1.47% 38256 0.42% 2019-11-30
Kasikorn Asset Management Co. Ltd 37459 0.01% -3400 -8.32% 2019-10-31
BBL Asset Management Co., Ltd. 28842516 6.65% -- -- 2019-10-31
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
JPMorgan Mid Cap Value Fund 5938690 1.02% -74894 -1.25% 2022-04-30
Vanguard Total Stock Market Index Fund 16031346 2.76% 40448 0.25% 2022-04-30
Capital Group Fundamental Invtrs Comp 18619015 3.21% 1815000 10.80% 2022-03-31
American Funds Fundamental Invs 18619015 3.21% 1815000 10.80% 2022-03-31
American Funds American Balanced Fund 19749685 3.40% -- -- 2022-03-31
2ndVote Advisers SDI Index Model 329686595 56.84% 329686595 -- 2022-03-31
2ndVote Advisers AMF Index Model 561397335 96.78% 561397335 -- 2022-03-31
2ndVote Advisers LIF Index Model 594170073 -- 594170073 -- 2022-03-31
2ndVote Advisers Shareholders First 1175267340 -- 1175228849 3053256.25% 2022-03-31
Vanguard 500 Index Fund 12581441 2.17% -138885 -1.09% 2022-04-30
Vanguard Mid-Cap Index Fund 12572735 2.17% 14978 0.12% 2022-04-30
Pictet-Security 10708389 1.85% 248143 2.37% 2022-05-31
JPM US Mid Cap Value-Composite 6013584 1.04% -121503 -1.98% 2022-03-31
Fidelity 6089162 1.05% 44628 0.74% 2022-04-30
SPDR 6277640 1.08% 37730 0.60% 2022-05-31
Capital Group Growth Fnd of Amer Comp 6442057 1.11% -- -- 2022-03-31
American Funds Growth Fund of Amer 6442057 1.11% -- -- 2022-03-31
First Trust NASDAQ Cybersecurity ETF 6481825 1.12% -- -- 2022-05-31
Columbia Seligman Tech & Info Fd 7027108 1.21% -- -- 2022-04-30
JHancock Disciplined Value Mid Cap Fund 7940202 1.37% -17731 -0.22% 2022-04-30
Columbia Seligman Technology Growth 6720508 1.16% 293000 4.56% 2021-06-30
Franklin Mutual Shares Fund 6248998 1.07% -308917 -4.71% 2022-02-28
iShares Core S&P 500 ETF 5043948 0.87% 3773 0.07% 2022-03-31
Lyrical U.S. Value Equity - CS 4959780 0.85% -42287 -0.85% 2021-12-31
Vanguard Mid-Cap Value Index Fund 4626249 0.80% 61697 1.35% 2022-02-28
Capital Group New Economy Comp 6012837 1.03% 415800 7.43% 2021-09-30
American Funds New Economy Fund 6012837 1.03% 415800 7.43% 2021-09-30
Touchstone Dividend Equity Fund 5727341 0.98% -- -- 2021-08-31
Vanguard Institutional Index Fund 4537839 0.78% -43990 -0.96% 2021-07-31
AIG Focused Dividend Strategy Fund 6057028 1.04% -167802 -2.70% 2021-05-31
T. Rowe Price Science And Technology Fd 7183859 1.24% -- -- 2021-03-31
Columbia Seligman Comms & Info Fd 7241308 1.25% 813800 12.66% 2021-04-30
Russell Inv Tax-Managed DI Large Cap SMA 591870000 -- 591870000 -- 2020-12-31
American Funds Income Fund of Amer 18483359 3.12% -- -- 2020-09-30
Columbia Seligman Comms & Info Fd 3813058 0.64% 286300 8.12% 2020-10-31
iShares Core S&P 500 ETF 4585478 0.77% 355 0.01% 2020-11-27
Capital Group Wrld Grwth & Inc Trust Cmp 3730000 0.63% 3730000 -- 2020-06-30
American Funds Capital World Gr&Inc Fd 3730000 0.63% 3730000 -- 2020-06-30
Vanguard Value Index Fund 3549961 0.60% 51765 1.48% 2020-08-31
Franklin Income Fund 4000000 0.68% -- -- 2020-06-30
JHancock Disciplined Value Fund 4295256 0.69% -30683 -0.71% 2020-02-29
Franklin Mutual Global Discovery Fund 7245806 1.17% -2322353 -24.27% 2020-02-29
Franklin Mutual Beacon Fund 4522056 0.73% -- -- 2020-01-31
T. Rowe Price Growth Stock Fund 7791497 1.26% -22332788 -74.14% 2019-09-30
T. Rowe Price Mid-Cap Growth Fund 7429254 1.20% -2070746 -21.80% 2019-09-30
Cambridge Canadian Equity Corporate Cl 4507366 0.73% -- -- 2019-03-31
Invesco QQQ Trust 5649291 0.91% 53504 0.96% 2019-11-28
Bualuang Siriphol Corp Governance RMF 1897667 0.44% -- -- 2019-06-30
Bualuang Small-Mid Cap RMF 2258607 0.52% -- -- 2019-06-30
Bualuang L/T Eq 75/25 2330029 0.54% -- -- 2019-06-30
Bualuang Siriphol Corporate Governance 2538720 0.59% -- -- 2019-06-30
Bualuang Infrastructure RMF 2814739 0.65% -- -- 2019-06-30
Bualuang Thanakom 4893085 1.13% -- -- 2019-06-30
Bualuang L/T Eq 6917949 1.60% -- -- 2019-06-30
Bualuang Infrastructure 1368037 0.32% -- -- 2019-06-30
Bualuang Equity RMF 1354281 0.31% -- -- 2019-06-30
Bualuang Flexible RMF 1240809 0.29% -- -- 2019-06-30
Buakaew 555079 0.13% -- -- 2019-06-30
Buakaew Income 334604 0.08% -- -- 2019-06-30
Bualuang Equity 25% RMF 173968 0.04% -- -- 2019-06-30
Bualuang Capital 99557 0.02% -- -- 2019-06-30
Buakaew 2 65385 0.02% -- -- 2019-06-30
K ICT Sector Index 37459 0.01% -3400 -8.32% 2019-06-30
JHancock Emerging Markets Fund 52750 0.01% -- -- 2019-08-31
JNL/T. Rowe Price Established Growth Fd 5414726 0.88% -164300 -2.94% 2019-06-30