ADVISORSHARES TR - PURE CANNABIS (YOLO)

Historical Holders from Q1 2019 to Q3 2025

Type / Class
Equity / PURE CANNABIS
Symbol
YOLO
Price per share
$2.90
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
2,990,007
Total reported value
$10,537,387
% of total 13F portfolios
0%
Share change
+597,072
Value change
+$2,159,940
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
51
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ADVISORSHARES TR - PURE CANNABIS (YOLO) has 51 institutional shareholders filing 13F forms. They hold 2,990,007 shares. .

Institutional Holders of ADVISORSHARES TR - PURE CANNABIS (YOLO) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 2,990,007 $10,537,387 +$2,159,940 $3.53 51
2025 Q2 2,374,105 $4,503,182 +$791,046 $1.89 52
2025 Q1 1,985,874 $3,520,266 +$563,866 $1.77 54
2024 Q4 1,639,401 $3,967,885 +$937,577 $2.42 59
2024 Q3 1,205,998 $3,937,732 +$609,508 $3.26 57
2024 Q2 1,029,163 $3,476,140 -$1,264,735 $3.37 60
2024 Q1 1,400,253 $5,712,652 +$820,239 $4.08 56
2023 Q4 1,189,796 $3,592,868 +$1,033,217 $3.02 59
2023 Q3 830,862 $2,840,147 +$588,164 $3.42 56
2023 Q2 680,342 $1,749,870 -$2,200,441 $2.57 57
2023 Q1 1,053,934 $3,042,255 -$1,699,528 $2.90 64
2022 Q4 1,555,513 $5,597,996 +$1,085,064 $3.60 67
2022 Q3 1,283,216 $5,461,362 +$396,977 $4.25 43
2022 Q2 1,215,423 $6,394,589 +$2,245,373 $5.26 50
2022 Q1 762,675 $8,153,037 -$9,720,511 $10.68 65
2021 Q4 1,445,010 $18,908,041 +$1,613,783 $13.00 70
2021 Q3 1,520,098 $25,061,276 -$7,893,957 $16.45 74
2021 Q2 2,068,835 $43,621,624 -$1,022,078 $21.08 81
2021 Q1 2,030,034 $47,970,619 +$21,155,793 $23.64 71
2020 Q4 1,151,259 $19,572,445 +$9,085,571 $17.00 50
2020 Q3 520,428 $5,582,912 +$1,650,537 $10.72 29
2020 Q2 366,584 $3,737,867 +$433,449 $10.20 30
2020 Q1 323,241 $2,497,657 -$430,560 $7.71 22
2019 Q4 3,334 $37,000 -$990,275 $10.12 5
2019 Q3 160,213 $2,334,184 +$1,263,885 $14.57 19
2019 Q2 12,694 $290,449 +$277,449 $22.98 15
2019 Q1 200 $4,000 $0 $20.00 1