US638671AK35 - Nationwide Mutual Insurance Co Azioni - Prezzo delle azioni, proprietà istituzionale, azionisti

Statistiche di base
Proprietari istituzionali 0 total, 0 long only, 0 short only, 0 long/short - change of 0,00% MRQ
Allocazione media del portafoglio 0.1552 % - change of -0,64% MRQ
Proprietà istituzionale e azionisti

Nationwide Mutual Insurance Co (US:US638671AK35) ha 0 proprietari istituzionali e azionisti che hanno presentato i moduli 13D/G o 13F alla Securities Exchange Commission (SEC). I maggiori azionisti includono .

(Nationwide Mutual Insurance Co (US638671AK35) la struttura proprietaria istituzionale mostra le attuali posizioni nella società da parte di istituzioni e fondi, nonché le ultime variazioni nella dimensione della posizione. I principali azionisti possono essere singoli investitori, fondi comuni, hedge fund o istituzioni. L'allegato 13D indica che l'investitore detiene (o ha detenuto) più del 5% della società e intende (o intendeva) perseguire attivamente un cambiamento nella strategia aziendale. L'allegato 13G indica un investimento passivo superiore al 5%.

US638671AK35 / Nationwide Mutual Insurance Co - 9.375% 2039-08-15 Institutional Ownership
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Depositi 13F e NPORT

Le informazioni relative ai depositi 13F sono gratuite. Per accedere alle informazioni relative ai depositi NP è necessario un'abbonamento premium. Le righe verdi indicano le nuove posizioni. Le righe rosse indicano le posizioni chiuse. Fai clic sull'icona del link per visualizzare la cronologia completa delle transazioni.

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Data di deposito Fonte Investitore Tipo Prezzo medio
(Stima)
Azioni Δ Azioni
(%)
Valore
dichiarato
($ 1000)
Δ Valore
(%)
Allocazione del portafoglio
(%)
2025-08-29 NP PIMCO FUNDS - PIMCO Long Duration Credit Bond Portfolio Long Duration Credit Bond Portfolio 42.660 0,44
2025-09-26 NP RFAYX - Investment Grade Bond Fund Class Y 924 0,87
2025-08-22 NP FEDERATED INSURANCE SERIES - Federated Managed Volatility Fund II Primary Shares This fund is a listed as child fund of Federated Hermes, Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 264 0,76
2025-08-27 NP BBTBX - Bridge Builder Core Bond Fund 9.428 0,47
2025-07-29 NP SLDAX - SIIT Long Duration Credit Fund - Class A 2.330 -2,55
2025-09-26 NP PYCBX - Payden Core Bond Fund (Investor Class) 1.717 0,94
2025-09-23 NP FIIFX - Federated Intermediate Corporate Bond Fund Institutional Shares This fund is a listed as child fund of Federated Hermes, Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 528 0,96
2025-07-30 NP UNIY - WisdomTree Voya Yield Enhanced USD Universal Bond Fund N/A 38 -2,56
2025-07-25 NP USIG - iShares Broad USD Investment Grade Corporate Bond ETF This fund is a listed as child fund of BlackRock Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 1.142 20,46
2025-09-25 NP VWESX - Vanguard Long-Term Investment-Grade Fund Investor Shares This fund is a listed as child fund of Vanguard Group Inc and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 8.899 0,94
2025-09-26 NP PYGFX - Payden Global Fixed Income Fund (Investor Class) 621 0,81
2025-07-22 NP FTRFX - Federated Total Return Bond Fund Service Shares This fund is a listed as child fund of Federated Hermes, Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 8.457 -2,58
2025-07-25 NP IGLB - iShares Long-Term Corporate Bond ETF This fund is a listed as child fund of BlackRock Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 604 -30,49
2025-07-22 NP FDBAX - Federated Bond Fund Class A Shares This fund is a listed as child fund of Federated Hermes, Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 4.357 -2,59
2025-09-26 NP PYACX - Payden Corporate Bond Fund (Investor Class) 2.287 0,93
2025-07-22 NP CAPAX - Federated Capital Income Fund Class A Shares This fund is a listed as child fund of Federated Hermes, Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 320 -2,44
2025-08-14 NP BAGIX - Baird Aggregate Bond Fund Institutional 24.183 0,47
2025-08-22 NP FTRB - Federated Hermes Total Return Bond ETF 33 0,00
2025-08-27 NP TCPAX - Touchstone Impact Bond Fund Class A 3.190 0,69
2025-07-29 NP SIDCX - SIIT Intermediate Duration Credit Fund - Class A 3.361 -2,58
2025-07-23 NP Western Asset Investment Grade Defined Opportunity Trust Inc. 410 -2,38
2025-08-29 NP PIMCO FUNDS - PIMCO Investment Grade Credit Bond Portfolio 132 0,76
2025-09-25 NP HBLAX - THE HARTFORD BALANCED INCOME FUND Class A 6.508 0,74
2025-08-29 NP PTCIX - PIMCO Long-Term Credit Bond Fund Institutional 3.302 0,43
2025-07-25 NP ILTB - iShares Core 10+ Year USD Bond ETF This fund is a listed as child fund of BlackRock Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 96 -3,06
2025-09-26 NP SUNAMERICA SERIES TRUST - SA Federated Corporate Bond Portfolio Class 1 3.781 0,75
2025-08-14 NP BCOIX - Baird Core Plus Bond Fund Institutional 30.867 0,48
2025-08-22 NP FEDERATED INSURANCE SERIES - Federated Quality Bond Fund II Primary Shares This fund is a listed as child fund of Federated Hermes, Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 390 0,52
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