abrdn Palladium ETF Trust - PHYSICAL PALLADM (PALL)

Historical Holders from Q3 2018 to Q4 2025

Type / Class
Equity / PHYSICAL PALLADM
Symbol
PALL on NYSE
Price per share
$145.38
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
1,131,296
Total reported value
$129,744,527
% of total 13F portfolios
0%
Share change
-15,837
Value change
+$1,470,656
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
98
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, abrdn Palladium ETF Trust - PHYSICAL PALLADM (PALL) has 98 institutional shareholders filing 13F forms. They hold 1,131,296 shares. .

Institutional Holders of abrdn Palladium ETF Trust - PHYSICAL PALLADM (PALL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 143,880 $20,966,113 +$6,910,064 14,538.2% 6
2025 Q3 1,131,296 $129,744,527 +$1,470,656 11,417% 98
2025 Q2 1,069,358 $107,650,683 +$35,100,101 10,061% 93
2025 Q1 721,924 $65,324,767 +$1,068,728 9,055% 76
2024 Q4 837,062 $69,939,399 +$17,717,436 8,352% 69
2024 Q3 615,117 $56,446,359 +$6,838,762 9,166% 54
2024 Q2 543,498 $48,393,835 +$6,124,447 8,909% 64
2024 Q1 451,643 $42,222,667 -$10,778,724 9,352% 62
2023 Q4 1,125 $113,726 10,108.98% 1
2023 Q3 477,274 $54,979,837 -$7,604,243 11,508% 62
2023 Q2 543,434 $61,876,299 +$9,126,437 11,378% 62
2023 Q1 449,170 $60,689,560 +$2,339,754 13,504% 73
2022 Q4 423,286 $69,866,563 -$17,788,281 16,511% 72
2022 Q3 519,673 $104,482,362 +$21,350,954 20,082.55% 74
2022 Q2 415,376 $74,180,067 -$20,377,710 17,858.97% 66
2022 Q1 521,853 $107,696,849 +$25,401,764 20,888.16% 85
2021 Q4 412,331 $72,606,846 -$8,614,265 17,617.66% 68
2021 Q3 420,251 $74,977,750 -$19,332,735 17,835.76% 64
2021 Q2 485,003 $126,062,124 +$27,869,639 25,965.72% 71
2021 Q1 379,783 $92,970,881 -$5,329,234 24,484.85% 65
2020 Q4 404,273 $92,801,434 -$11,450,551 22,955.61% 67
2020 Q3 454,442 $98,401,574 +$31,176,669 21,651.23% 54
2020 Q2 311,173 $56,873,066 -$10,097,726 18,277.6% 43
2020 Q1 351,660 $78,135,344 -$26,489,105 22,217.93% 54
2019 Q4 491,446 $90,051,528 -$220,832 18,326.02% 41
2019 Q3 415,947 $66,202,892 +$3,036,155 15,918.15% 42
2019 Q2 398,902 $58,059,319 -$21,396,587 14,555.63% 41
2019 Q1 558,095 $72,848,153 +$40,026,638 13,051.94% 43
2018 Q4 250,588 $29,829,882 +$29,598,882 11,904.76% 36
2018 Q3 1,950 $198,000 +$198,000 10,150.38% 3