Aptargroup Inc. | Mutual Funds

Mutual Funds that own Aptargroup Inc.

Name
Shares Held
% Shares Out
Change In Shares
% of Assets
As of Date
Eaton Vance SMID Cap Portfolio
3,117,081
5.01%
403,844
2.5%
04/30/2018
Victory Established Value Fund
1,798,800
2.89%
276,600
1.6%
06/30/2018
iShares Core S&P Mid Cap ETF
1,708,611
2.75%
1,380
0.35%
09/06/2018
JPMorgan Small Cap Equity Fund
1,594,418
2.56%
0
2.33%
07/31/2018
Vanguard Small Cap Index Fund
1,568,760
2.52%
19,960
0.17%
07/31/2018
Vanguard Total Stock Market Index Fund
1,556,452
2.5%
1,702
0.02%
07/31/2018
Neuberger Berman Genesis Fund
1,280,643
2.06%
-37,665
1.14%
06/30/2018
Caisse de Dépôt & Placement du Québec
1,114,700
1.79%
-854,800
0.04%
12/31/2017
Vanguard Small Cap Value Index Fund
985,176
1.58%
9,396
0.32%
07/31/2018
SPDR S&P Dividend ETF
854,997
1.38%
-259
0.55%
09/06/2018

About Aptargroup

View Profile
Address
265 Exchange Drive
Crystal Lake Illinois 60014
United States
Employees -
Website http://www.aptar.com
Updated 07/08/2019
AptarGroup, Inc. develops, manufactures and sales of consumer product dispensing systems. It operates through the following business segments : Beauty & Home, Pharma, and Food & Beverage. The Beauty & Home segment primarily sells pumps, aerosol valves and accessories to the personal care and household markets and pumps and decorative components to the fragrance/cosmetic market.