EXCHANGE TRADED CONCEPTS TRU - ETC 6 LOW BETA (SIXL) Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2020 to Q3 2025

Type / Class
Equity / ETC 6 LOW BETA
Symbol
SIXL
Price per share
$36.76
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
5,180,952
Total reported value
$192,035,659
% of total 13F portfolios
0%
Share change
+8,132
Value change
+$321,009
Number of holders
6
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 6 institutional investors reported holding 5,180,952 shares of EXCHANGE TRADED CONCEPTS TRU - ETC 6 LOW BETA (SIXL).

Institutional Holders of EXCHANGE TRADED CONCEPTS TRU - ETC 6 LOW BETA (SIXL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 5,180,952 $192,035,659 +$321,009 $37.07 6
2025 Q2 5,172,820 $188,964,661 +$2,434,865 $36.53 5
2025 Q1 5,069,110 $190,889,000 +$7,471,623 $37.66 5
2024 Q4 4,870,699 $181,677,058 +$4,448,166 $37.30 2
2024 Q3 4,751,391 $177,799,772 +$4,445,501 $37.42 2
2024 Q2 4,632,593 $159,566,087 +$7,616,060 $34.44 2
2024 Q1 4,411,268 $153,733,720 +$176,035 $34.85 2
2023 Q4 4,407,867 $146,004,633 -$253,972 $33.12 3
2023 Q3 4,416,252 $135,856,216 -$1,644,403 $30.76 3
2023 Q2 4,469,689 $140,902,996 -$4,265,801 $31.52 4
2023 Q1 4,605,008 $148,307,577 +$2,742,402 $32.21 4
2022 Q4 4,519,826 $148,493,472 +$147,404,285 $32.85 3
2022 Q3 4,413,258 $132,369,000 +$2,722,169 $29.99 3
2022 Q2 4,321,110 $140,472,000 +$3,527,307 $32.51 4
2022 Q1 4,212,598 $146,809,000 +$531,001 $34.85 2
2021 Q4 4,062,074 $146,345,000 +$1,940,348 $36.02 2
2021 Q3 4,008,257 $133,101,000 +$8,968,672 $33.21 3
2021 Q2 3,737,980 $127,692,000 +$10,197,253 $34.16 3
2021 Q1 3,440,011 $113,063,000 +$6,487,014 $32.86 2
2020 Q4 3,242,633 $98,047,000 +$2,918,976 $30.24 1
2020 Q3 3,147,253 $84,340,000 +$6,065,531 $26.81 2
2020 Q2 2,920,904 $76,462,000 +$76,461,870 $26.19 2