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Pryce Corp. | Mutual Funds

Mutual Funds that own Pryce Corp.

Name
Shares Held
% Shares Out
Change In Shares
% of Assets
As of Date
19,597,800
0.97%
19,597,800
0.3%
12/31/2016
16,142,000
0.8%
16,142,000
0.05%
06/30/2017
Grandeur Peak Global Reach Fund
5,447,000
0.27%
0
0.16%
04/30/2018
4,586,500
0.23%
0
1.24%
04/30/2018
Royce Value Trust
3,000,000
0.15%
0
0.02%
06/30/2018
Asia Pacific Fund
1,989,900
0.1%
0
0.16%
03/31/2018
Nestor Fernost Fonds
1,903,900
0.09%
0
0.98%
06/29/2018
Royce Global Value Trust Inc.
489,100
0.02%
-74,500
0.04%
06/30/2018
Manulife Global Fund - Asia Value Dividend Equity Fund
394,800
0.02%
233,900
0.27%
12/31/2017
222,500
0.01%
0
0.26%
06/29/2018

About Pryce

View Profile
Address
17/F Pryce Center
Makati MM 1226
Philippines
Employees -
Website http://www.pryce.com.ph
Updated 07/08/2019
Pryce Corp. is a property holding and real estate development company, which engages in the development of memorial parks, residential subdivisions, condominiums, and commercial properties. The firm operates through the following segments: Real Estate, Liquefied Petroleum Gas and Industrial Gases and Fuels; and Pharmaceutical Products. The Real Estate segment The Real Estate segment includes the acquisition, purchase, lease, hold, sale or otherwise deal in land and real estate.