EXCHANGE TRADED CONCEPTS TRU - EMQQ THE EMERGIN (EMQQ)

Historical Holders from Q4 2014 to Q4 2025

Type / Class
Equity / EMQQ THE EMERGIN
Symbol
EMQQ
Price per share
$40.36
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
3,758,620
Total reported value
$174,482,498
% of total 13F portfolios
0%
Share change
+100,797
Value change
+$4,752,209
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
94
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, EXCHANGE TRADED CONCEPTS TRU - EMQQ THE EMERGIN (EMQQ) has 94 institutional shareholders filing 13F forms. They hold 3,758,620 shares .

Institutional Holders of EXCHANGE TRADED CONCEPTS TRU - EMQQ THE EMERGIN (EMQQ) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 8,224 $331,941 +$10,615 4,035.77% 2
2025 Q3 3,758,620 $174,482,498 +$4,752,209 4,643.5% 94
2025 Q2 3,680,516 $153,365,706 -$14,436,201 4,167% 90
2025 Q1 4,034,660 $153,956,401 -$10,737,023 3,816% 95
2024 Q4 4,368,901 $150,703,106 -$1,661,931 3,448% 95
2024 Q3 3,416,321 $133,883,079 -$11,403,767 3,921% 97
2024 Q2 3,728,243 $123,697,718 -$16,500,647 3,319% 100
2024 Q1 4,227,217 $132,512,971 -$13,890,569 3,131% 113
2023 Q4 4,514,076 $139,003,049 -$7,159,709 3,081% 107
2023 Q3 4,000,609 $117,560,406 -$19,263,265 2,938% 106
2023 Q2 6,974,602 $204,794,707 -$13,641,335 2,936% 111
2023 Q1 7,408,190 $237,646,496 -$545,432 3,209% 121
2022 Q4 7,662,169 $227,839,622 -$11,585,578 2,973% 131
2022 Q3 7,950,198 $212,142,941 -$41,299,250 2,664.99% 118
2022 Q2 9,753,781 $315,485,255 +$1,565,686 3,233% 136
2022 Q1 9,831,429 $322,515,921 -$54,500,464 3,277.54% 143
2021 Q4 11,107,369 $476,633,369 -$35,018,521 4,290% 188
2021 Q3 11,413,409 $566,949,353 -$1,429,720 4,959.06% 185
2021 Q2 11,671,181 $737,311,976 +$72,480 6,334.89% 217
2021 Q1 11,616,128 $739,554,758 +$141,746,135 6,390.92% 214
2020 Q4 9,358,840 $596,777,768 +$107,667,869 6,357.94% 177
2020 Q3 7,471,142 $390,505,900 +$84,162,140 5,223% 130
2020 Q2 5,839,418 $272,966,187 +$57,530,593 4,670.94% 100
2020 Q1 4,616,314 $145,825,551 +$15,908,855 3,150.71% 81
2019 Q4 4,095,161 $144,763,276 +$2,270,350 3,530.45% 83
2019 Q3 3,889,750 $121,329,618 -$25,541,098 3,119.9% 74
2019 Q2 4,645,115 $149,072,279 +$23,910,047 3,210.98% 70
2019 Q1 3,899,939 $128,386,527 +$3,216,513 3,291.56% 73
2018 Q4 3,864,819 $103,274,934 +$35,570,781 2,670.99% 66
2018 Q3 2,445,504 $78,377,448 -$7,800,830 3,205.01% 68
2018 Q2 2,595,962 $95,390,661 +$12,533,745 3,669.98% 72
2018 Q1 2,232,242 $88,016,320 +$37,373,440 3,946.91% 66
2017 Q4 1,254,423 $47,753,648 -$3,071,802 3,805.96% 52
2017 Q3 1,359,056 $49,406,860 +$14,457,863 3,635.02% 44
2017 Q2 962,666 $30,516,657 +$21,703,742 3,169.97% 25
2017 Q1 278,464 $7,752,452 -$208,049 2,780.97% 15
2016 Q4 286,115 $6,535,863 +$4,979,107 2,284.16% 12
2016 Q3 65,408 $1,784,258 -$1,340,057 2,727.76% 9
2016 Q2 115,410 $2,600,000 +$1,464,785 2,252.65% 7
2016 Q1 50,541 $1,132,000 -$1,912,345 2,237.68% 6
2015 Q4 134,751 $3,196,000 +$786,169 2,365.32% 8
2015 Q3 78,293 $1,514,000 +$896,477 1,946.47% 3
2015 Q2 27,886 $685,000 -$16,264 2,552.25% 4
2015 Q1 27,609 $646,000 +$643,001 2,290.08% 3
2014 Q4 135 $3,000 +$3,000 2,222.22% 1