COLUMBIA ETF TR I - MULTI SEC MUNI (MUST)

Historical Holders from Q4 2018 to Q4 2025

Type / Class
Equity / MULTI SEC MUNI
Symbol
MUST
Price per share
$20.61
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
16,901,802
Total reported value
$346,938,489
% of total 13F portfolios
0%
Share change
+1,623,857
Value change
+$33,527,393
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
85
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, COLUMBIA ETF TR I - MULTI SEC MUNI (MUST) has 85 institutional shareholders filing 13F forms. They hold 16,901,802 shares. .

Institutional Holders of COLUMBIA ETF TR I - MULTI SEC MUNI (MUST) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 789,980 $16,289,035 +$882,501 2,061% 5
2025 Q3 16,901,802 $346,938,489 +$33,527,393 2,053% 85
2025 Q2 15,277,545 $307,374,555 +$40,958,590 2,012% 81
2025 Q1 13,241,677 $266,614,006 -$7,780,105 2,013.5% 77
2024 Q4 13,609,791 $276,461,199 +$12,811,373 2,031% 78
2024 Q3 11,749,567 $244,133,502 +$1,812,492 2,078% 66
2024 Q2 11,720,643 $238,740,101 +$2,840,185 2,037% 70
2024 Q1 11,572,638 $239,062,177 -$10,842,527 2,066% 67
2023 Q4 11,269,971 $235,059,028 +$24,165,323 2,087% 65
2023 Q3 11,087,014 $216,190,271 +$28,556,907 1,950% 60
2023 Q2 9,606,565 $197,029,582 +$30,965,936 2,051% 54
2023 Q1 8,166,647 $168,538,737 -$134,712 2,062% 52
2022 Q4 8,191,032 $165,055,600 +$56,472,182 2,016% 51
2022 Q3 5,011,888 $97,720,015 +$4,270,676 1,947.19% 44
2022 Q2 4,801,415 $97,118,231 +$13,847,064 2,017.62% 41
2022 Q1 4,095,428 $85,802,045 +$11,557,098 2,094.96% 39
2021 Q4 3,522,029 $79,248,750 +$12,138,119 2,250.04% 40
2021 Q3 2,779,862 $62,458,728 +$5,873,690 2,247.79% 29
2021 Q2 2,520,074 $56,976,860 +$7,175,649 2,260.16% 27
2021 Q1 640,860 $14,323,583 +$1,367,812 2,234.83% 17
2020 Q4 1,894,184 $42,486,229 +$3,623,455 2,243.36% 13
2020 Q3 1,733,114 $38,187,000 +$1,438,905 2,203.1% 13
2020 Q2 1,667,907 $36,323,000 +$3,515,785 2,177.76% 15
2020 Q1 1,506,672 $32,055,000 +$8,532,255 2,126.93% 12
2019 Q4 1,091,166 $23,506,000 -$737,370 2,153.64% 5
2019 Q3 1,125,416 $24,400,000 +$1,272,632 2,167.55% 5
2019 Q2 1,066,773 $22,901,000 +$735,186 2,146.24% 6
2019 Q1 1,032,503 $21,662,000 +$4,948,513 2,097.04% 5
2018 Q4 789,947 $16,139,000 +$16,139,009 2,043.97% 4