AMERICAN CENTY ETF TR - DIVERSIFIED MU (TAXF)

Historical Holders from Q3 2018 to Q4 2025

Type / Class
Equity / DIVERSIFIED MU
Symbol
TAXF
Price per share
$50.38
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
7,902,979
Total reported value
$396,944,070
% of total 13F portfolios
0%
Share change
-174,859
Value change
-$8,482,357
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
96
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, AMERICAN CENTY ETF TR - DIVERSIFIED MU (TAXF) has 96 institutional shareholders filing 13F forms. They hold 7,902,979 shares. .

Institutional Holders of AMERICAN CENTY ETF TR - DIVERSIFIED MU (TAXF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 211,117 $10,656,007 +$770,731 5,037.99% 3
2025 Q3 7,902,979 $396,944,070 -$8,482,357 5,023% 96
2025 Q2 8,061,980 $394,481,047 -$8,968,748 4,893% 87
2025 Q1 8,194,208 $405,438,616 +$1,679,858 4,948% 89
2024 Q4 8,282,282 $415,367,245 +$44,921,867 5,014% 89
2024 Q3 7,284,416 $374,551,994 +$22,852,940 5,142% 76
2024 Q2 6,844,737 $344,684,406 +$1,795,310 5,036% 77
2024 Q1 6,724,638 $339,934,644 +$27,629,052 5,055% 75
2023 Q4 6,085,675 $310,144,670 +$17,440,302 5,096% 77
2023 Q3 5,748,431 $275,632,550 +$43,610,882 4,795% 76
2023 Q2 4,782,887 $239,142,040 +$14,553,021 5,000% 70
2023 Q1 4,509,731 $227,006,763 +$10,432,116 5,035% 66
2022 Q4 4,284,643 $209,667,478 -$44,749,891 4,893% 60
2022 Q3 4,869,449 $232,125,000 +$46,805,631 4,766.83% 51
2022 Q2 3,893,224 $194,039,000 +$13,413,854 4,984.03% 56
2022 Q1 3,555,442 $183,550,000 +$29,652,022 5,163.37% 51
2021 Q4 2,957,614 $163,398,000 +$26,274,538 5,524.61% 47
2021 Q3 2,404,602 $132,527,000 +$33,649,236 5,510.52% 36
2021 Q2 1,783,937 $99,082,000 +$19,275,966 5,554.43% 30
2021 Q1 1,437,141 $78,480,000 +$15,510,233 5,461.03% 25
2020 Q4 1,116,325 $60,999,000 +$14,144,061 5,464.24% 23
2020 Q3 872,798 $46,759,000 -$3,853,161 5,357.24% 19
2020 Q2 944,899 $49,936,000 +$5,666,637 5,283.19% 18
2020 Q1 837,999 $43,131,000 +$12,502,678 5,147.58% 15
2019 Q4 594,145 $31,440,000 +$4,046,373 5,288.71% 13
2019 Q3 512,692 $27,108,000 +$2,835,378 5,285.75% 8
2019 Q2 459,322 $23,978,000 +$10,832,904 5,220.92% 4
2019 Q1 251,798 $12,883,000 +$92,009 5,116.54% 3
2018 Q4 250,000 $12,497,000 -$3 4,998.87% 2
2018 Q3 250,000 $12,468,000 +$12,468,000 4,987.5% 2