Columbia ETF Trust I - Exchange Traded Fund (REVS) Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2019 to Q4 2025

Type / Class
Equity / Exchange Traded Fund
Symbol
REVS
Price per share
$28.98
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
2,489,583
Total reported value
$69,604,923
% of total 13F portfolios
0%
Share change
+47,291
Value change
+$1,322,786
Number of holders
20
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Columbia ETF Trust I - Exchange Traded Fund (REVS) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
TRUIST FINANCIAL CORP 0.1% $75,801 2,989 TRUIST FINANCIAL CORP 30 Jun 2025

As of 30 Sep 2025, 20 institutional investors reported holding 2,489,583 shares of Columbia ETF Trust I - Exchange Traded Fund (REVS).

Institutional Holders of Columbia ETF Trust I - Exchange Traded Fund (REVS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 105,326 $3,052,347 +$137,858 $28.98 1
2025 Q3 2,489,583 $69,604,923 +$1,322,786 $27.96 20
2025 Q2 2,442,292 $64,234,215 +$6,870,919 $26.28 18
2025 Q1 2,182,127 $55,075,859 +$3,144,927 $25.24 16
2024 Q4 2,082,691 $51,511,876 -$1,578,004 $24.73 16
2024 Q3 2,078,042 $52,743,366 +$7,867,345 $25.38 16
2024 Q2 1,770,227 $41,244,293 +$10,972,953 $23.30 15
2024 Q1 1,296,435 $31,036,351 +$21,360,865 $23.97 15
2023 Q4 401,719 $8,696,163 -$625,927 $21.65 12
2023 Q3 443,597 $9,047,857 +$178,525 $20.40 16
2023 Q2 434,309 $9,073,487 +$894,885 $20.89 12
2023 Q1 391,468 $7,717,483 -$816,260 $19.84 8
2022 Q4 484,152 $9,470,026 +$499,303 $19.56 10
2022 Q3 197,379 $3,536,147 -$10,042,220 $17.91 9
2022 Q2 725,566 $13,774,000 +$6,564,183 $18.98 9
2022 Q1 364,037 $7,787,000 -$2,636,490 $21.25 4
2021 Q4 499,281 $10,562,000 +$8,453,087 $21.36 7
2021 Q3 98,685 $1,986,000 +$1,311,599 $20.12 6
2021 Q2 33,524 $676,000 +$473,771 $20.17 3
2021 Q1 10,025 $191,000 -$307,000 $19.05 1
2020 Q4 18,228 $307,000 -$27,941 $16.84 1
2020 Q3 19,887 $373,000 -$4,053,111 $18.76 1
2020 Q2 245,379 $4,418,000 -$8,679 $18.01 2
2020 Q1 245,861 $3,853,000 -$1,361,556 $15.66 2
2019 Q4 248,253 $5,273,000 -$30,762 $21.24 2
2019 Q3 249,700 $4,971,000 +$4,971,003 $19.91 1