Smith A O Corp
- Stock Issuer and Owners
Smith A O Corp |
Ticker | AOS |
CIK # | 0000091142 |
CUSIP | 831865209 |
Sector | Manufacturing - Motors & Generators |
Address | PO Box 245009, Milwaukee, WI 53224-9509 |
Source |
[EDGAR]
|
Form 13F Holdings |
Firm |
Period |
DFND |
Voting |
Shares |
Vanguard Group Inc |
[2023-03-31]
|
SOLE |
0.0 |
14,141,107.0 |
BlackRock Inc. |
[2023-03-31]
|
SOLE |
8,859,623.0 |
9,814,587.0 |
State Street Corp |
[2023-03-31]
|
DFND |
8,080,789.0 |
8,768,849.0 |
Impax Asset Management Group plc |
[2023-03-31]
|
DFND |
3,624,848.0 |
4,013,361.0 |
Brown Brothers Harriman & Co |
[2023-03-31]
|
SOLE |
3,343,014.0 |
3,402,236.0 |
Geode Capital Management LLC |
[2023-03-31]
|
DFND |
2,908,882.0 |
2,912,853.0 |
Invesco Ltd. |
[2023-03-31]
|
DFND |
0.0 |
2,821,039.0 |
Proshare Advisors LLC |
[2023-03-31]
|
SOLE |
2,821,037.0 |
2,821,037.0 |
Macquarie Group Ltd |
[2023-03-31]
|
SOLE |
2,112,915.0 |
2,120,008.0 |
First Trust Advisors LP |
[2023-03-31]
|
SOLE |
1,981,311.0 |
1,981,311.0 |
Bessemer Group Inc |
[2023-03-31]
|
DFND |
1,893,669.0 |
1,917,541.0 |
Bank of America Corp /DE/ |
[2023-03-31]
|
DFND |
38,911.0 |
1,748,280.0 |
Northern Trust Corp |
[2023-03-31]
|
DFND |
335,714.0 |
1,613,891.0 |
Pictet Asset Management Sa |
[2023-03-31]
|
DFND |
1.0 |
1,576,731.0 |
Morgan Stanley |
[2023-03-31]
|
DFND |
1,211,477.0 |
1,557,591.0 |
Amundi |
[2023-03-31]
|
DFND |
1,069,819.0 |
1,444,046.0 |
Robeco Schweiz AG |
[2023-03-31]
|
DFND |
1,390,437.0 |
1,418,334.0 |
Earnest Partners LLC |
[2023-03-31]
|
SOLE |
1,249,283.0 |
1,359,356.0 |
Charles Schwab Investment Management Inc |
[2023-03-31]
|
SOLE |
1,288,916.0 |
1,288,916.0 |
Ameriprise Financial Inc |
[2023-03-31]
|
DFND |
0.0 |
1,167,603.0 |
Bank of New York Mellon Corp |
[2023-03-31]
|
DFND |
920,029.0 |
1,132,756.0 |
FIL Ltd |
[2023-03-31]
|
DFND |
1,117,824.0 |
1,117,824.0 |
TimesSquare Capital Management LLC |
[2023-03-31]
|
SOLE |
839,265.0 |
1,086,765.0 |
Wellington Management Group LLP |
[2023-03-31]
|
DFND |
0.0 |
1,074,232.0 |
Anchor Capital Advisors LLC |
[2023-03-31]
|
SOLE |
1,006,246.0 |
1,047,435.0 |
Dimensional Fund Advisors LP |
[2023-03-31]
|
SOLE |
926,217.0 |
978,104.0 |
Nomura Asset Management Co Ltd |
[2023-03-31]
|
SOLE |
978,709.0 |
937,363.0 |
Citadel Advisors LLC |
[2023-03-31]
|
DFND |
928,967.0 |
928,967.0 |
1832 Asset Management L.P. |
[2023-03-31]
|
SOLE |
881,956.0 |
881,956.0 |
Vontobel Holding Ltd. |
[2023-03-31]
|
DFND |
718,894.0 |
864,708.0 |
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