Orbbec Inc (688322)

Currency in CNY
84.74
+1.20(+1.44%)
Closed·

Ownership

Ownership Overview

Type
Common Stock Held% of Shares OutstandingMarket Value
Mutual Funds & ETFs
50.95M12.74%4.32B
Other Institutional Investors
98.03M24.51%8.31B
Public Companies & Retail Investors
250.96M62.75%21.27B
Total
399.94M100.00%33.89B

Top Institutional Holders

Holder
% of holding
Shares Held
Date Reported
Value (In 1,000s)
Shanghai Yunxin Venture Capital Co., Ltd.9.21%36,822,1203,120,306
Zhuhai Orbbec Zhongxin Equiyt Investment Partnership Enterprise (Limited Partnership)5.60%22,407,4801,898,810
Qianhai Renzhi Hulian (Shenzhen) Equity Investment Partnership Enterprise (L.P.)2.56%10,225,863866,540
Qianhai Renzhi Capital Management (Shenzhen) Co., Ltd.2.56%10,225,863866,540
Meide Innovation Investment Co., Ltd.1.90%7,591,320643,288
Hong Kong Exchanges and Clearing Limited1.57%6,281,593532,302
AEGON-Industrial Fund Management Co. Ltd.1.56%6,251,901529,786
China Asset Management Co. Ltd.1.41%5,626,790476,814
China Development Bank Capital Corporation Ltd1.30%5,212,800441,733
China Development Manufacturing Transformation and Upgrading Fund (LP)1.30%5,212,800441,733

Top Mutual Fund Holders

Holder
% of holding
Shares Held
Date Reported
Value (In 1,000s)
Industrial Herun Structured Equity Securities Investment Fund1.56%6,251,901529,786
China Asset Management Co Ltd. - Robot ETF1.41%5,626,790476,814
Industrial Business Models Selection Fund1.06%4,230,891358,526
E Fund Management Co., Ltd - CNI Robot Industry Index ETF0.89%3,547,047300,577
Aegon-Industrial Heyi Flexible Allocation Mixed Fund0.81%3,246,021275,068
Industrial New Horizons Flexible Disposition Regular Opening Mixed Seed Fund0.73%2,921,864247,599
Maxwealth Advanced Manufacturing Premier Selection Mixed Launched Fund0.50%2,017,626170,974
China Southern CSI 1000 ETF Fund0.46%1,843,212156,194
Tianhong Asset Management Co., Ltd. - CSI Robot Index ETF0.45%1,813,751153,697
Bosera Asset Management Co., Ltd., - Sse Science and Technology Innovation Board 100 ETF0.35%1,417,513120,120
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