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货币单位:美元(USD)

华盛顿邮报公司

Washington Post Co Cl B (wpo)

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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
Berkshire Hathaway Inc 1727765 23.30% -- -- 2013-09-30
Gardner Russo & Gardner 80868 1.10% -5734 -6.60% 2013-09-30
Mellon Capital Management Corporation 88125 1.20% 1755 2.00% 2013-09-30
Fidelity Management and Research Company 98865 1.30% -124571 -55.80% 2013-09-30
Ariel Investments, LLC 103841 1.40% -14859 -12.50% 2013-09-30
BlackRock Fund Advisors 125596 1.70% -7195 -5.40% 2013-09-30
Dimensional Fund Advisors, Inc. 139084 1.90% 3579 2.60% 2013-09-30
Cornhusker Casualty Company 148311 2.00% -- -- 2012-12-31
State Street Corp 165921 2.20% 8087 5.10% 2013-09-30
T. Rowe Price Associates, Inc. 180797 2.40% -9425 -5.00% 2013-09-30
International Value Advisers, LLC 230385 3.10% -143984 -38.50% 2013-09-30
Vanguard Group, Inc. 289065 3.90% -63959 -18.10% 2013-09-30
Southeastern Asset Management Inc. 543610 7.30% -4700 -0.90% 2013-09-30
National Fire & Marine Insurance Co 648165 8.70% -- -- 2012-12-31
Franklin Advisers, Inc. 80000 1.10% -- -- 2013-09-30
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
Longleaf Partners Small Cap Fund 428000 5.80% -- -- 2013-06-30
DFA US Targeted Value Portfolio 30743 0.40% 1600 5.50% 2013-08-31
IVA Global I 32931 0.40% -5613 -14.60% 2013-06-30
Vanguard Small Cap Value Index Fund 36206 0.50% 452 1.30% 2013-10-31
Vanguard Five Hundred Index Fund 41961 0.60% 34 0.10% 2013-10-31
Vanguard Institutional Index Fund 42906 0.60% 37 0.10% 2013-10-31
SPDR S&P 500 44253 0.60% 438 1.00% 2013-11-27
JNL/S&P Total Yield Fund 57342 0.80% 772 1.40% 2013-09-30
Vanguard Total Stock Mkt Idx 64127 0.90% 672 1.10% 2013-10-31
Vanguard Small Cap Index 71146 1.00% 1548 2.20% 2013-10-31
Franklin Growth Fund 80000 1.10% -- -- 2013-09-30
Ariel Fund 86182 1.20% -13596 -13.60% 2013-09-30
T. Rowe Price Mid Cap Value Fund 139643 1.90% -11100 -7.40% 2013-09-30
IVA Worldwide Fund 149199 2.00% -94151 -38.70% 2013-09-30
SSgA S&P 500 Index Fund - Class I 27994 0.40% -202 -0.70% 2013-03-31