GLOBAL X FDS - GLBL X MLP ETF (MLPA)

Historical Holders from Q3 2017 to Q4 2025

Type / Class
Equity / GLBL X MLP ETF
Symbol
MLPA
Price per share
$48.41
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
20,008,664
Total reported value
$968,780,779
% of total 13F portfolios
0%
Share change
+187,510
Value change
+$8,713,240
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, GLOBAL X FDS - GLBL X MLP ETF (MLPA) has 220 institutional shareholders filing 13F forms. They hold 20,008,664 shares .

Institutional Holders of GLOBAL X FDS - GLBL X MLP ETF (MLPA) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 764,870 $36,952,244 +$1,700,041 4,841% 8
2025 Q3 20,008,664 $968,780,779 +$8,713,240 4,842% 220
2025 Q2 19,839,492 $996,079,262 +$11,241,767 5,020% 220
2025 Q1 19,488,110 $1,036,483,738 +$94,184,934 5,323% 224
2024 Q4 18,001,781 $889,472,938 +$71,947,152 4,941% 213
2024 Q3 16,250,381 $779,414,237 -$31,435,966 4,798% 199
2024 Q2 16,893,632 $819,327,719 -$13,077,929 4,850% 211
2024 Q1 17,161,540 $827,375,285 +$37,898,161 4,822% 211
2023 Q4 472 $20,930 4,434.32% 1
2023 Q3 15,498,160 $690,995,656 -$47,856,799 4,459% 180
2023 Q2 16,555,377 $710,802,352 -$61,646,044 4,293% 174
2023 Q1 17,996,980 $748,788,001 +$13,862,626 4,160% 179
2022 Q4 17,625,287 $727,707,667 +$70,675,777 4,129% 177
2022 Q3 15,600,837 $615,704,692 +$7,045,419 3,944.02% 158
2022 Q2 14,404,530 $531,589,879 +$23,030,095 3,686.96% 153
2022 Q1 14,135,564 $569,598,673 -$34,791,179 4,029.93% 151
2021 Q4 16,229,855 $568,210,169 +$64,009,324 3,497.97% 132
2021 Q3 14,163,984 $499,753,878 +$42,991,705 3,526.92% 127
2021 Q2 13,070,472 $504,500,263 +$24,555,710 3,865.02% 130
2021 Q1 12,510,809 $413,953,852 +$43,639,598 3,307.98% 124
2020 Q4 11,355,610 $310,442,032 -$131,491,011 2,741.95% 97
2020 Q3 15,296,618 $336,085,358 -$13,992,344 2,195.93% 83
2020 Q2 15,773,305 $429,362,505 +$411,042,069 2,721.95% 93
2020 Q1 3,025,511 $9,524,944 +$1,545,418 314.61% 11
2019 Q4 2,533,227 $19,963,096 +$16,426,345 788.01% 3
2019 Q3 443,170 $3,715,000 -$27,718 2,502.3% 2
2019 Q2 446,478 $3,940,000 -$98,717 2,524.39% 2
2019 Q1 457,669 $4,061,000 +$4,059,007 2,526.83% 2
2017 Q4 0 $0 -$803 0
2017 Q3 78 $803 +$803 1,029.49% 1