展开完整图表
主要持股 Market Value Shares Weight %
SPG Simon Property Group Inc 695.94 K 3 414.00 0.04%
Alimentation Couche-Tard Inc. 694.60 K 11.44 K 0.04%
Israel Discount Bank Ltd. 693.69 K 57.37 K 0.04%
EXC Exelon Corp. 692.93 K 14.01 K 0.04% SBUX Starbucks Corp. 692.61 K 7 066.00 0.04% BN Brookfield Corp. 692.52 K 15.79 K 0.04%
HK Electric Investments / HK Electric Investments Ltd. 692.29 K 772.50 K 0.04%
RF Regions Financial Corporation 692.13 K 24.87 K 0.04%
Boliden AB 691.43 K 8 696.00 0.04%
a2 Milk Co Ltd. (The) 689.48 K 99.48 K 0.04%
Shufersal Ltd. 687.19 K 49.08 K 0.04%
Standard Life PLC 686.37 K 66.56 K 0.04%
PHM Pulte Group Inc 686.00 K 5 000.00 0.04%
Aviva PLC 685.27 K 74.30 K 0.04%
O Realty Income Corporation 683.00 K 10.19 K 0.04% ROK Rockwell Automation, Inc. 679.22 K 1 667.00 0.04% NSC Norfolk Southern Corporation 677.32 K 2 152.00 0.04% CVNA Carvana Co 676.67 K 2 025.00 0.04%
Lixil Corp. 675.86 K 57.50 K 0.04%
Daiichi Sankyo Co Ltd. 675.11 K 34.40 K 0.04%