FRANKLIN TEMPLETON ETF TR - US EQUITY INDEX (USPX)

Historical Holders from Q3 2016 to Q4 2025

Type / Class
Equity / US EQUITY INDEX
Symbol
USPX
Price per share
$59.78
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
15,703,295
Total reported value
$901,290,130
% of total 13F portfolios
0%
Share change
+3,495,004
Value change
+$202,947,232
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
29
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FRANKLIN TEMPLETON ETF TR - US EQUITY INDEX (USPX) has 29 institutional shareholders filing 13F forms. They hold 15,703,295 shares. .

Institutional Holders of FRANKLIN TEMPLETON ETF TR - US EQUITY INDEX (USPX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 22,618 $1,352,000 +$81,235 5,977.54% 1
2025 Q3 15,703,295 $901,290,130 +$202,947,232 5,857.98% 29
2025 Q2 10,481,693 $569,831,317 -$74,302,453 5,436.42% 26
2025 Q1 11,856,680 $580,782,679 +$49,295,555 4,898.36% 22
2024 Q4 12,643,849 $652,474,690 -$506,009,620 5,134.45% 22
2024 Q3 22,501,664 $1,151,506,612 -$60,634,568 5,025.5% 24
2024 Q2 23,693,040 $1,123,144,175 +$2,240,193 4,765.16% 17
2024 Q1 21,724,958 $996,741,204 -$3,559,933 4,587.99% 15
2023 Q4 20,665,766 $860,103,949 +$61,532,764 4,162% 12
2023 Q3 20,356,847 $761,327,784 +$858,839 3,739.91% 13
2023 Q2 20,333,005 $789,083,271 +$36,464,851 3,880.8% 10
2023 Q1 19,397,814 $692,160,555 +$59,518,074 3,568.24% 8
2022 Q4 17,731,810 $589,234,834 +$148,215,833 3,323.06% 9
2022 Q3 13,283,654 $414,542,044 +$413,332,977 3,120.7% 7
2022 Q2 38,774 $1,332,008 -$207,336 3,435.97% 7
2022 Q1 44,252 $1,768,864 +$36,579 3,995.65% 8
2021 Q4 43,275 $1,811,937 +$84,292 4,186.99% 8
2021 Q3 41,260 $1,614,075 +$134,514 3,913.96% 7
2021 Q2 37,817 $1,509,465 -$6,434 3,989.27% 5
2021 Q1 37,978 $1,432,509 -$97,888 3,772.76% 5
2020 Q4 40,622 $1,456,240 +$417,015 3,584.32% 6
2020 Q3 28,647 $942,000 -$304,177 3,284.27% 4
2020 Q2 38,636 $1,227,000 -$4,554,909 3,068.54% 4
2020 Q1 189,019 $5,042,000 -$1,921,603 2,667.53% 5
2019 Q4 248,728 $8,356,115 -$586,518 3,359.96% 6
2019 Q3 266,332 $8,421,505 -$739,445 3,162% 5
2019 Q2 289,715 $9,010,366 -$7,046,267 3,109.98% 6
2019 Q1 516,663 $15,964,940 +$6,198,605 3,090.03% 9
2018 Q4 316,114 $8,667,729 +$1,496,991 2,741.98% 9
2018 Q3 276,263 $8,669,807 -$1,618,457 3,122.37% 8
2018 Q2 328,248 $9,828,529 -$2,586,094 2,975.98% 8
2018 Q1 400,221 $12,021,203 -$358,508 3,004.52% 7
2017 Q4 412,160 $12,598,646 +$138,934 3,057.92% 9
2017 Q3 404,922 $11,869,571 -$434,667 2,931.14% 7
2017 Q2 419,765 $11,737,082 -$5,906,523 2,814.79% 6
2017 Q1 631,054 $17,238,503 +$5,817,753 2,731.88% 3
2016 Q4 418,137 $10,606,873 +$9,020,071 2,556.73% 5
2016 Q3 62,492 $1,665,643 +$1,665,644 2,656.44% 4