KPN KON

(AMS: NL:KPN)
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2.55 Up +0.02 +0.79%
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OWNERSHIP INFORMATION
Shares Outstanding 4.27 Bil
Institutional Ownership (%) 22.79
Top 10 Institutions (%) 9.44
Mutual Fund Ownership (%) 22.95
5%/Insider Ownership (%) NA
Float (%) NA
OWNERSHIP ACTIVITY
DESCRIPTION # OF HOLDERS SHARES
Total Positions 283 964,041,305
New Positions 46 34,722,031
Soldout Positions 37 31,761,696
Net Position Change 237 75,622,785
Buyers 135 120,629,324
Sellers 102 -45,006,539
VIEW:
INSTITUTION NAME SHS HELD SHS CHG %CHG $CHG* %OUT %PORT RPT DATE
Franklin Mutual Advisers, LLC 181,017,540 14,540,690 8.73 52,977,793 4.24 1.01 06-30-14
Standard Chartered Bank China Ltd 31,946,480 3,030,540 10.48 11,041,194 0.75 2.26 06-30-14
Vanguard Group, Inc. 30,711,857 169,517 0.56 544,345 0.72 0.06 07-31-14
Majedie Asset Management Ltd 28,218,082 1,367,042 5.09 4,421,256 0.66 1.6 07-31-14
BlackRock Advisors (UK) Limited 23,923,373 160,425 0.68 536,579 0.57 0.09 08-29-14
Allianz Global Investors Europe GmbH 23,889,778 20,364,182 577.61 73,597,041 0.55 1.81 07-31-14
RBC Global Asset Management Inc. 21,152,480 7,244,030 52.08 26,788,354 0.5 2.29 05-31-14
J.P. Morgan Investment Management Inc. 20,875,599 -224,845 -1.07 -749,955 0.49 0.92 07-31-14
Legal and General 20,465,529 11,547,184 129.48 37,691,547 0.48 0.1 01-31-14
Grantham, Mayo, Van Otterloo & Co., LLC 20,311,790 13,937,009 218.63 51,607,580 0.48 0.39 05-31-14
Edinburgh Partners Limited 18,295,342 702,750 3.99 2,330,330 0.43 2.23 07-31-14
Natixis Asset Management 18,059,160 6,897,386 61.79 24,502,020 0.42 1.3 04-30-14
Amundi 17,628,560 586,229 3.44 2,135,813 0.41 0.41 06-30-14
BlackRock Fund Advisors 13,451,333 -91,727 -0.68 -303,614 0.33 0.15 08-29-14
BlackRock Advisors LLC 13,247,997 -1,725,427 -11.52 -6,125,744 0.31 0.06 07-31-14
  • *Category Headings:
  • Shs Held - shares held at report date
  • Shs Chg - position change within reporting period
  • %Chg - % change
  • $Chg - market value of the position change
  • %Out - % of shares outstanding
  • %Port - % Portfolio
  • Rpt Date - report date
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