GLOBAL X FDS - HEALTHTECH ETF (HEAL)

Historical Holders from Q1 2019 to Q3 2025

Type / Class
Equity / HEALTHTECH ETF
Symbol
HEAL
Price per share
$10.51
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
5,309
Total reported value
$55,785
% of total 13F portfolios
0%
Share change
-1,836,787
Value change
-$20,037,250
Avg sell value change
-0%
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, GLOBAL X FDS - HEALTHTECH ETF (HEAL) has 1 institutional shareholder filing 13F forms. They hold 5,309 shares. .

Institutional Holders of GLOBAL X FDS - HEALTHTECH ETF (HEAL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 5,309 $55,785 -$20,037,250 1,050.76% 1
2025 Q2 1,842,096 $20,095,798 +$5,222,565 1,091% 25
2025 Q1 1,374,555 $12,989,779 +$257,148 945% 25
2024 Q4 1,342,037 $13,193,420 -$5,525,747 983% 27
2024 Q3 1,778,136 $19,022,353 +$2,405,581 1,002% 35
2024 Q2 1,529,544 $13,384,351 -$1,983,402 875.01% 31
2024 Q1 1,738,266 $16,541,050 -$3,016,140 951% 36
2023 Q4 2,084,690 $21,108,623 -$17,526,128 1,012% 40
2023 Q3 3,736,244 $34,298,962 -$3,451,977 918% 43
2023 Q2 4,096,423 $47,643,229 -$3,101,343 1,163% 46
2023 Q1 4,364,762 $51,135,656 -$8,103,128 1,172% 50
2022 Q4 5,056,520 $58,567,139 +$18,646 1,158% 51
2022 Q3 5,025,307 $56,775,461 -$1,276,385 1,129.09% 48
2022 Q2 5,149,777 $59,358,496 +$2,417,326 1,152.4% 50
2022 Q1 4,798,921 $69,513,196 -$22,381,407 1,448.1% 57
2021 Q4 6,401,003 $105,926,972 -$95,984,218 1,654% 67
2021 Q3 12,058,175 $213,758,088 +$7,196,530 1,772.17% 62
2021 Q2 11,708,068 $225,969,706 -$28,402,005 1,929.98% 58
2021 Q1 13,182,012 $252,053,845 +$104,070,696 1,912.09% 71
2020 Q4 7,711,059 $146,816,884 +$70,787,590 1,928.62% 39
2020 Q3 3,978,519 $67,018,000 +$65,212,858 1,680.23% 19
2020 Q2 68,285 $1,318,000 $0 1,930.15% 1
2020 Q1 68,285 $1,318,000 $0 1,930.15% 1
2019 Q4 68,285 $1,318,000 $0 1,930.15% 1
2019 Q3 68,285 $1,318,000 $0 1,930.15% 1
2019 Q2 68,285 $1,318,000 $0 1,930.15% 1
2019 Q1 68,285 $1,318,000 $0 1,930.15% 1