Amcor PLC
- Stock Issuer and Owners
Amcor PLC |
Ticker | AMCR |
CIK # | 0001748790 |
CUSIP | G0250X107 |
Sector | Manufacturing - Miscellaneous Manufacturing Industries |
Address | 83 Tower Road North, Warmley, Bristol, BS30 8XP |
Source |
[EDGAR]
|
Form 13F Holdings |
Firm |
Period |
DFND |
Voting |
Shares |
BlackRock Inc. |
[2023-03-31]
|
SOLE |
109,088,447.0 |
118,126,402.0 |
State Street Corp |
[2023-03-31]
|
DFND |
96,454,669.0 |
104,487,442.0 |
Vanguard Group Inc |
[2023-03-31]
|
SOLE |
0.0 |
51,682,734.0 |
Geode Capital Management LLC |
[2023-03-31]
|
DFND |
30,799,413.0 |
30,845,588.0 |
Federated Hermes Inc |
[2023-03-31]
|
DFND |
29,234,429.0 |
29,787,068.0 |
Charles Schwab Investment Management Inc |
[2023-03-31]
|
SOLE |
28,781,270.0 |
28,781,270.0 |
American Century Companies Inc |
[2023-03-31]
|
DFND |
16,837,302.0 |
17,444,100.0 |
Invesco Ltd. |
[2023-03-31]
|
DFND |
0.0 |
16,964,452.0 |
Polaris Capital Management LLC |
[2023-03-31]
|
SOLE |
13,078,472.0 |
14,877,972.0 |
Proshare Advisors LLC |
[2023-03-31]
|
SOLE |
14,745,085.0 |
14,745,085.0 |
Northern Trust Corp |
[2023-03-31]
|
DFND |
1,562,905.0 |
12,206,522.0 |
Bank of New York Mellon Corp |
[2023-03-31]
|
DFND |
8,393,849.0 |
10,840,655.0 |
Morgan Stanley |
[2023-03-31]
|
DFND |
8,107,973.0 |
10,650,754.0 |
Price T Rowe Associates Inc /MD/ |
[2023-03-31]
|
DFND |
5,270,511.0 |
10,414,577.0 |
Price T Rowe Associates Inc /MD/ |
[2023-03-31]
|
SOLE |
4,207,362.0 |
8,860,565.0 |
Bank of America Corp /DE/ |
[2023-03-31]
|
DFND |
660,711.0 |
8,511,340.0 |
Dimensional Fund Advisors LP |
[2023-03-31]
|
SOLE |
7,720,887.0 |
8,478,297.0 |
JPMorgan Chase & Co |
[2023-03-31]
|
DFND |
3,131,115.0 |
8,269,494.0 |
APG Asset Management N.V. |
[2023-03-31]
|
DFND |
6,268,652.0 |
6,268,652.0 |
Swiss National Bank |
[2023-03-31]
|
SOLE |
5,909,392.0 |
5,909,392.0 |
Legal & General Group Plc |
[2023-03-31]
|
DFND |
4,176,213.0 |
5,699,391.0 |
Goldman Sachs Group Inc |
[2023-03-31]
|
DFND |
5,310,692.0 |
5,448,530.0 |
Isthmus Partners LLC |
[2023-03-31]
|
SOLE |
0.0 |
5,244,534.0 |
UBS Group AG |
[2023-03-31]
|
DFND |
0.0 |
5,196,011.0 |
Acadian Asset Management LLC |
[2023-03-31]
|
DFND |
4,977,400.0 |
4,977,400.0 |
Manufacturers Life Insurance Company the |
[2023-03-31]
|
DFND |
4,907,640.0 |
4,907,640.0 |
Vanguard Group Inc |
[2023-03-31]
|
DFND |
0.0 |
4,587,965.0 |
Sumitomo Mitsui Trust Holdings, Inc. |
[2023-03-31]
|
DFND |
4,255,353.0 |
4,255,353.0 |
First Republic Investment Management Inc |
[2023-03-31]
|
SOLE |
4,224,725.0 |
4,224,725.0 |
Wells Fargo & Company/MN |
[2023-03-31]
|
DFND |
466,499.0 |
4,103,750.0 |
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