GLOBAL X FDS - US PFD ETF (PFFD)

Historical Holders from Q3 2017 to Q4 2025

Type / Class
Equity / US PFD ETF
Symbol
PFFD
Price per share
$18.91
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
68,802,180
Total reported value
$1,336,677,034
% of total 13F portfolios
0.01%
Share change
+1,851,087
Value change
+$36,255,891
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
279
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, GLOBAL X FDS - US PFD ETF (PFFD) has 279 institutional shareholders filing 13F forms. They hold 68,802,180 shares. .

Institutional Holders of GLOBAL X FDS - US PFD ETF (PFFD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 8,747,276 $165,448,674 +$6,574,025 1,891% 12
2025 Q3 68,802,180 $1,336,677,034 +$36,255,891 1,943% 279
2025 Q2 66,656,717 $1,254,386,134 +$110,542,737 1,883% 287
2025 Q1 60,943,000 $1,160,398,501 -$23,271,138 1,904% 287
2024 Q4 61,687,514 $1,204,625,833 +$25,994,538 1,951% 288
2024 Q3 59,894,420 $1,244,137,610 +$64,628,779 2,078% 265
2024 Q2 56,628,455 $1,114,674,791 -$6,190,062 1,968% 251
2024 Q1 57,743,915 $1,162,386,182 -$57,727,123 2,016% 249
2023 Q4 230,053 $4,463,023 -$999,151 1,940% 3
2023 Q3 52,507,345 $987,854,276 +$45,522,308 1,881% 233
2023 Q2 53,572,462 $1,038,740,126 +$66,093,398 1,939% 215
2023 Q1 49,498,553 $983,378,095 -$30,310,542 1,986% 220
2022 Q4 47,203,719 $914,595,702 +$186,526,863 1,937% 211
2022 Q3 41,054,041 $841,482,908 +$53,194,935 2,051% 202
2022 Q2 38,583,164 $819,359,852 -$63,459,638 2,121.05% 209
2022 Q1 40,765,454 $957,501,110 -$95,401,847 2,350% 217
2021 Q4 44,829,393 $1,153,074,691 +$27,732,767 2,575.98% 226
2021 Q3 42,211,261 $1,087,634,890 +$263,909,603 2,576% 189
2021 Q2 34,670,133 $906,977,024 +$219,799,856 2,616.98% 179
2021 Q1 25,880,537 $660,612,033 +$155,818,311 2,551% 150
2020 Q4 18,886,690 $487,391,596 +$91,205,785 2,579.95% 130
2020 Q3 13,303,837 $330,985,521 +$20,029,541 2,476.01% 99
2020 Q2 12,484,655 $296,192,828 -$108,524,178 2,350% 90
2020 Q1 17,184,205 $380,327,326 +$3,808,291 2,188% 80
2019 Q4 16,874,971 $423,723,339 +$36,406,781 2,503.05% 73
2019 Q3 14,943,423 $376,066,174 +$104,111,661 2,509% 57
2019 Q2 10,656,799 $263,094,326 +$47,840,416 2,452.51% 42
2019 Q1 8,739,054 $212,494,664 +$30,312,674 2,406% 36
2018 Q4 6,371,127 $143,635,000 +$45,527,870 2,254.48% 26
2018 Q3 4,270,593 $103,239,000 +$22,315,010 2,417.45% 13
2018 Q2 3,347,511 $81,683,000 +$73,546,387 2,440.11% 7
2018 Q1 332,232 $8,140,000 -$12,724,375 2,449.53% 8
2017 Q4 851,279 $21,179,000 +$19,737,872 2,486.49% 5
2017 Q3 57,964 $1,455,000 +$1,455,001 2,510.18% 1