Positioner per emittent

Endast positioner från och med 2020-01-01 visas i listan nedan.

HMS Networks AB

LEI-kod 549300MOY2FDUUDIQ179
Summa procent 2,42

Aktuella positioner

Positionsinnehavare ISIN Position i procent (%) Positionsdatum Föregående Position (%)
JPMorgan Asset Management (UK) Ltd SE0009997018 0,6 2026-01-30 0,52

Historiska positioner

Positionsinnehavare ISIN Position i procent (%) Positionsdatum Efterföljande Position (%)
DNB Asset Management AS SE0009997018 <0,5 2026-01-02
DNB Asset Management AS SE0009997018 0,5 2025-10-23 <0,5
DNB Asset Management AS SE0009997018 <0,5 2025-10-15 0,5
DNB Asset Management AS SE0009997018 0,56 2025-10-13 <0,5
JPMorgan Asset Management (UK) Ltd SE0009997018 0,52 2025-07-16 0,6
JPMorgan Asset Management (UK) Ltd SE0009997018 <0,5 2025-04-29
JPMorgan Asset Management (UK) Ltd SE0009997018 0,52 2025-04-23 <0,5
JPMorgan Asset Management (UK) Ltd SE0009997018 0,68 2025-04-11 0,52
JPMorgan Asset Management (UK) Ltd SE0009997018 0,79 2025-04-03 0,68
JPMorgan Asset Management (UK) Ltd SE0009997018 0,84 2025-03-11 0,79
DNB Asset Management AS SE0009997018 0,68 2025-02-28 0,56
DNB Asset Management AS SE0009997018 0,78 2025-02-20 0,68
JPMorgan Asset Management (UK) Ltd SE0009997018 0,79 2025-02-12 0,84
DNB Asset Management AS SE0009997018 0,8 2025-02-03 0,78
JPMorgan Asset Management (UK) Ltd SE0009997018 0,8 2025-01-02 0,79
DNB Asset Management AS SE0009997018 0,72 2024-12-17 0,8
JPMorgan Asset Management (UK) Ltd SE0009997018 0,79 2024-12-16 0,8
JPMorgan Asset Management (UK) Ltd SE0009997018 0,82 2024-12-04 0,79
DNB Asset Management AS SE0009997018 0,69 2024-11-18 0,72
JPMorgan Asset Management (UK) Ltd SE0009997018 0,74 2024-10-21 0,82
JPMorgan Asset Management (UK) Ltd SE0009997018 0,66 2024-09-16 0,74
DNB Asset Management AS SE0009997018 0,82 2024-09-12 0,69
DNB Asset Management AS SE0009997018 0,77 2024-07-19 0,82
DNB Asset Management AS SE0009997018 0,8 2024-07-12 0,77
DNB Asset Management AS SE0009997018 0,79 2024-04-18 0,8
DNB Asset Management AS SE0009997018 0,98 2024-04-17 0,79
ALCUR FONDER AB SE0009997018 <0,5 2024-04-16
DNB Asset Management AS SE0009997018 1,09 2024-04-16 0,98
JPMorgan Asset Management (UK) Ltd SE0009997018 0,76 2024-03-25 0,66
DNB Asset Management AS SE0009997018 1,17 2024-03-19 1,09
DNB Asset Management AS SE0009997018 1,27 2024-03-07 1,17
ALCUR FONDER AB SE0009997018 0,52 2024-02-13 <0,5
DNB Asset Management AS SE0009997018 1,3 2024-02-01 1,27
DNB Asset Management AS SE0009997018 1,23 2024-01-30 1,3
DNB Asset Management AS SE0009997018 1,42 2024-01-26 1,23
ALCUR FONDER AB SE0009997018 <0,5 2024-01-10 0,52
ALCUR FONDER AB SE0009997018 0,6 2023-12-21 <0,5
DNB Asset Management AS SE0009997018 1,36 2023-12-18 1,42
ALCUR FONDER AB SE0009997018 0,52 2023-12-15 0,6
DNB Asset Management AS SE0009997018 1,42 2023-12-12 1,36
ALCUR FONDER AB SE0009997018 <0,5 2023-12-11 0,52
JPMorgan Asset Management (UK) Ltd SE0009997018 0,84 2023-12-07 0,76
DNB Asset Management AS SE0009997018 1,39 2023-12-04 1,42
DNB Asset Management AS SE0009997018 1,43 2023-11-20 1,39
ALCUR FONDER AB SE0009997018 0,69 2023-11-17 <0,5
JPMorgan Asset Management (UK) Ltd SE0009997018 0,6 2023-10-23 0,84
ALCUR FONDER AB SE0009997018 0,7 2023-10-19 0,69
ALCUR FONDER AB SE0009997018 0,68 2023-10-18 0,7
DNB Asset Management AS SE0009997018 1,34 2023-10-18 1,43
ALCUR FONDER AB SE0009997018 0,51 2023-10-12 0,68
JPMorgan Asset Management (UK) Ltd SE0009997018 0,59 2023-09-12 0,6
DNB Asset Management AS SE0009997018 1,21 2023-08-23 1,34
DNB Asset Management AS SE0009997018 1,13 2023-08-08 1,21
DNB Asset Management AS SE0009997018 1,08 2023-08-07 1,13
DNB Asset Management AS SE0009997018 0,93 2023-07-14 1,08
DNB Asset Management AS SE0009997018 1,07 2023-06-15 0,93
DNB Asset Management AS SE0009997018 1,18 2023-03-21 1,07
DNB Asset Management AS SE0009997018 1,21 2023-02-03 1,18
DNB Asset Management AS SE0009997018 1,13 2023-01-23 1,21
DNB Asset Management AS SE0009997018 1,01 2023-01-03 1,13
DNB Asset Management AS SE0009997018 0,9 2022-12-05 1,01
JPMorgan Asset Management (UK) Ltd SE0009997018 <0,5 2022-11-14
JPMorgan Asset Management (UK) Ltd SE0009997018 0,5 2022-11-11 <0,5
DNB Asset Management AS SE0009997018 0,83 2022-11-11 0,9
JPMorgan Asset Management (UK) Ltd SE0009997018 0,62 2022-10-25 0,5
JPMorgan Asset Management (UK) Ltd SE0009997018 0,51 2022-10-11 0,62
DNB Asset Management AS SE0009997018 0,5 2022-10-07 0,83
DNB Asset Management AS SE0009997018 0,63 2022-09-22 0,5
DNB Asset Management AS SE0009997018 0,8 2022-08-01 0,63
DNB Asset Management AS SE0009997018 0,75 2022-07-14 0,8
DNB Asset Management AS SE0009997018 0,61 2022-07-11 0,75
DNB Asset Management AS SE0009997018 0,56 2022-07-07 0,61