DBX ETF TR - XTRACK USD HIGH (HYLB)

Historical Holders from Q1 2016 to Q4 2025

Type / Class
Equity / XTRACK USD HIGH
Symbol
HYLB
Price per share
$36.83
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
92,266,070
Total reported value
$3,423,288,830
% of total 13F portfolios
0.01%
Share change
-1,595,155
Value change
-$58,637,816
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
220
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, DBX ETF TR - XTRACK USD HIGH (HYLB) has 220 institutional shareholders filing 13F forms. They hold 92,266,070 shares. .

Institutional Holders of DBX ETF TR - XTRACK USD HIGH (HYLB) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 563,695 $20,767,372 +$45,130 3,683% 6
2025 Q3 92,266,070 $3,423,288,830 -$58,637,816 3,711% 220
2025 Q2 93,568,044 $3,451,847,353 -$118,023,066 3,692% 220
2025 Q1 97,074,594 $3,508,688,012 +$554,092,902 3,615% 224
2024 Q4 81,799,577 $2,951,428,904 -$7,971,346 3,608% 226
2024 Q3 81,959,496 $3,024,678,150 +$46,572,761 3,692% 225
2024 Q2 81,003,718 $2,872,058,204 +$254,569,060 3,546% 218
2024 Q1 74,623,468 $2,664,124,705 -$239,830,703 3,571% 208
2023 Q4 4,366,423 $155,246,786 +$487,298 3,555.04% 4
2023 Q3 99,456,066 $3,371,629,115 -$66,386,972 3,390% 198
2023 Q2 102,012,494 $3,519,076,559 +$48,173,528 3,450% 213
2023 Q1 100,224,694 $3,482,125,163 -$117,028,509 3,475% 213
2022 Q4 103,905,850 $3,503,639,944 +$236,122,086 3,371% 223
2022 Q3 95,231,846 $3,119,198,479 +$48,016,960 3,274.09% 189
2022 Q2 104,664,983 $3,531,366,797 -$490,983,297 3,373% 192
2022 Q1 118,448,296 $4,465,661,631 -$1,326,312,439 3,771.99% 219
2021 Q4 156,042,220 $6,213,100,231 +$15,630,631 3,984% 249
2021 Q3 154,647,450 $6,195,804,199 -$136,637,188 4,008% 228
2021 Q2 159,316,560 $6,421,286,137 +$1,409,052,666 4,030.97% 233
2021 Q1 123,236,122 $6,026,983,141 -$646,689,257 4,999% 212
2020 Q4 135,040,528 $6,764,337,180 +$720,118,195 5,008.99% 206
2020 Q3 120,614,237 $5,801,398,821 +$1,561,106,194 4,809.99% 169
2020 Q2 87,411,480 $4,080,520,149 +$826,433,679 4,674.99% 147
2020 Q1 69,802,897 $3,076,251,174 -$434,020,481 4,407% 149
2019 Q4 79,103,159 $3,984,444,842 +$758,078,404 5,037% 162
2019 Q3 61,428,975 $3,075,647,109 +$449,330,738 5,008.01% 139
2019 Q2 52,342,388 $2,627,644,384 +$189,357,719 5,019.03% 113
2019 Q1 48,682,098 $2,419,341,812 +$511,042,292 4,970.82% 113
2018 Q4 38,473,920 $1,801,080,576 +$52,399,718 4,679% 76
2018 Q3 37,515,152 $1,869,895,306 +$320,455,068 4,985.9% 75
2018 Q2 31,029,454 $1,523,523,773 +$549,452,146 4,910.97% 56
2018 Q1 19,817,783 $981,325,139 +$500,756,243 4,952.01% 41
2017 Q4 9,713,111 $490,387,000 +$291,108,883 5,043.26% 29
2017 Q3 3,891,657 $199,469,000 +$438,747 5,127.82% 17
2017 Q2 3,883,064 $198,781,000 +$41,188,498 5,120.13% 17
2017 Q1 3,078,006 $156,899,000 +$19,901,581 5,095.41% 6
2016 Q4 2,687,523 $135,464,000 +$135,463,959 5,040.4% 3
2016 Q1 1,200 $60,000 $0 5,000% 1