ADVISORSHARES TR - DORSY SHRT ETF (DWSH) Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2018 to Q3 2025

Type / Class
Equity / DORSY SHRT ETF
Symbol
DWSH
Price per share
$6.70
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
499,839
Total reported value
$3,360,782
% of total 13F portfolios
0%
Share change
+84,597
Value change
+$522,518
Number of holders
9
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 9 institutional investors reported holding 499,839 shares of ADVISORSHARES TR - DORSY SHRT ETF (DWSH).

Institutional Holders of ADVISORSHARES TR - DORSY SHRT ETF (DWSH) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 499,839 $3,360,782 +$522,518 $6.87 9
2025 Q2 415,242 $3,085,299 +$2,365,953 $7.43 10
2025 Q1 96,782 $727,573 -$350,937 $7.52 8
2024 Q4 151,214 $1,062,830 +$38,823 $7.03 10
2024 Q3 135,106 $964,979 +$106,003 $7.14 8
2024 Q2 118,496 $888,199 -$617,621 $7.51 9
2024 Q1 213,260 $1,491,926 -$1,766,896 $6.99 8
2023 Q4 464,122 $3,267,755 -$3,623,022 $7.04 11
2023 Q3 929,316 $8,532,240 +$185,615 $9.18 15
2023 Q2 919,894 $8,046,446 +$231,354 $8.75 14
2023 Q1 856,683 $7,761,061 -$3,477 $9.06 17
2022 Q4 810,147 $8,274,980 -$10,199,641 $9.96 20
2022 Q3 1,725,832 $19,157,000 +$7,273,674 $11.10 19
2022 Q2 1,095,229 $11,465,000 +$7,604,351 $10.47 20
2022 Q1 340,214 $2,844,000 -$2,942,809 $8.36 9
2021 Q4 684,077 $5,809,000 -$3,966,930 $8.48 9
2021 Q3 1,138,614 $9,984,000 +$1,881,241 $8.78 11
2021 Q2 925,728 $7,909,000 +$3,269,028 $8.54 11
2021 Q1 543,024 $5,043,000 -$1,054,149 $9.26 11
2020 Q4 632,545 $7,228,000 -$15,452,318 $11.42 15
2020 Q3 1,837,184 $34,951,000 -$1,576,270 $19.04 23
2020 Q2 1,840,488 $35,637,490 -$6,710,650 $19.36 27
2020 Q1 1,549,152 $53,256,000 +$21,592,808 $35.57 18
2019 Q4 798,646 $18,220,074 +$14,231,959 $22.81 9
2019 Q3 173,319 $4,494,891 +$608,120 $25.94 5
2019 Q2 152,211 $3,804,745 +$2,372,507 $25.00 8
2019 Q1 57,356 $1,421,698 -$2,612,912 $24.78 6
2018 Q4 136,398 $4,163,270 +$4,106,388 $30.51 6
2018 Q3 1,905 $48,000 +$48,000 $24.84 2