GLOBAL X FDS - US INFR DEV ETF (PAVE)

Historical Holders from Q1 2017 to Q1 2025

Symbol
PAVE
CUSIP
37954Y673
Type / Class
Equity / US INFR DEV ETF
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
145M
Holdings value
$5.87B
% of all portfolios
0.022%
Grand Portfolio weight change
+0.001%
Number of holders
586
Number of buys
263
Number of sells
-210
Average Value change %
-0.01%
Average buys %
+0.003%
Average sells %
-0.014%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of GLOBAL X FDS - US INFR DEV ETF (PAVE)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 7.63M $288M +$40M $37.73 128
2024 Q4 145M $5.87B +$382M $40.41 586
2024 Q3 134M $5.53B +$216M $41.16 541
2024 Q2 130M $4.8B +$539M $37.02 518
2024 Q1 114M $4.55B +$468M $39.81 513
2023 Q4 95.3M $3.29B +$8.17M $34.46 467
2023 Q3 94.8M $2.89B +$321M $30.38 425
2023 Q2 90.6M $2.85B +$348M $31.43 406
2023 Q1 77.7M $2.2B +$242M $28.35 396
2022 Q4 69.1M $1.83B -$56.5M $26.49 381
2022 Q3 70.1M $1.62B -$272M $23.06 357
2022 Q2 81.9M $1.87B -$291M $22.77 370
2022 Q1 99.3M $2.81B +$10.3M $28.28 429
2021 Q4 98.6M $2.83B +$389M $28.79 421
2021 Q3 80.9M $2.06B +$491M $25.41 368
2021 Q2 61.9M $1.59B +$452M $25.75 340
2021 Q1 46.4M $1.16B +$650M $25.06 253
2020 Q4 20.1M $426M +$269M $21.21 115
2020 Q3 6.77M $114M +$23.5M $16.86 52
2020 Q2 5.39M $82.4M +$62.3M $15.27 47
2020 Q1 1.25M $15.4M -$29.1M $12.31 40
2019 Q4 4.49M $80M -$57.2K $17.81 43
2019 Q3 4.56M $73.7M +$883K $16.16 38
2019 Q2 4.29M $69.9M +$3.68M $16.30 34
2019 Q1 4.28M $67.2M -$2.16M $15.70 38
2018 Q4 4.44M $59.7M +$22.9M $13.46 41
2018 Q3 2.73M $46.8M +$5.35M $17.16 28
2018 Q2 2.35M $38.3M +$10.3M $16.28 27
2018 Q1 1.72M $27.6M +$23.1M $16.05 22
2017 Q4 277K $4.65M +$1.59M $16.78 10
2017 Q3 183K $2.82M -$1.17M $15.41 8
2017 Q2 264K $3.85M +$2.88M $14.59 9
2017 Q1 66K $976K +$976K $14.78 4