GLOBAL X FDS - MSCI SUPDIV EA (EFAS)

Historical Holders from Q4 2016 to Q3 2025

Type / Class
Equity / MSCI SUPDIV EA
Symbol
EFAS
Price per share
$18.90
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
461,718
Total reported value
$8,721,671
% of total 13F portfolios
0%
Share change
+119,575
Value change
+$2,282,167
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
18
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, GLOBAL X FDS - MSCI SUPDIV EA (EFAS) has 18 institutional shareholders filing 13F forms. They hold 461,718 shares. .

Institutional Holders of GLOBAL X FDS - MSCI SUPDIV EA (EFAS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 461,718 $8,721,671 +$2,282,167 1,889.5% 18
2025 Q2 359,456 $6,542,394 +$4,587,870 1,820% 12
2025 Q1 106,502 $1,697,812 +$567,164 1,594.01% 9
2024 Q4 73,388 $1,048,201 -$527,288 1,394% 10
2024 Q3 108,137 $1,668,546 -$2,718,554 1,543% 10
2024 Q2 295,748 $4,217,340 +$1,926,885 1,426% 13
2024 Q1 160,615 $2,352,994 -$1,708,205 1,465% 12
2023 Q4 280,164 $4,031,716 +$208,584 1,443% 18
2023 Q3 260,880 $3,376,683 -$801,643 1,312.5% 15
2023 Q2 321,521 $4,324,461 +$677,361 1,345% 14
2023 Q1 271,018 $3,741,270 +$1,371,640 1,380% 15
2022 Q4 172,989 $2,326,304 +$551,475 1,345.01% 10
2022 Q3 135,964 $1,555,817 -$834,363 1,143.03% 10
2022 Q2 195,534 $2,701,000 +$819,469 1,381.27% 10
2022 Q1 1,000 $16 +$1 1,000.8% 2
2021 Q4 313,781 $4,925,000 -$84,257 1,569.27% 9
2021 Q3 323,864 $4,952,015 -$1,391,545 1,529.28% 11
2021 Q2 409,763 $6,589,016 +$1,807,913 1,608.01% 11
2021 Q1 297,814 $4,674,405 +$1,159,814 1,567.68% 10
2020 Q4 225,186 $3,303,000 +$293,302 1,466.25% 11
2020 Q3 193,834 $2,320,000 +$281,949 1,196.25% 11
2020 Q2 169,401 $2,069,000 +$882,818 1,219.55% 13
2020 Q1 102,745 $1,113,000 -$1,630,517 1,081.92% 12
2019 Q4 201,809 $3,286,982 +$77,315 1,625.26% 12
2019 Q3 250,861 $3,913,497 +$2,452,228 1,560.04% 11
2019 Q2 93,548 $1,491,000 +$174,966 1,592.7% 4
2019 Q1 82,479 $1,320,000 -$365,011 1,600.04% 6
2018 Q4 105,803 $1,595,000 +$196,563 1,505.66% 9
2018 Q3 89,602 $1,542,861 -$4,609,642 1,722.09% 8
2018 Q2 354,759 $6,065,859 +$4,670,395 1,716.72% 10
2018 Q1 81,383 $1,430,880 +$640,903 1,760.56% 7
2017 Q4 44,953 $816,000 +$87,766 1,814.83% 4
2017 Q3 39,955 $736,000 -$532,462 1,843.82% 3
2017 Q2 71,145 $1,237,000 -$326,217 1,736.11% 2
2017 Q1 89,898 $1,484,000 -$115,141 1,650.76% 1
2016 Q4 96,873 $1,502,000 +$1,501,996 1,550.48% 1