INVESCO EXCH TRADED FD TR II - S&P MIDCP LOW (XMLV)

Historical Holders from Q1 2016 to Q4 2025

Type / Class
Equity / S&P MIDCP LOW
Symbol
XMLV
Price per share
$62.37
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
6,924,052
Total reported value
$439,771,525
% of total 13F portfolios
0%
Share change
-280,942
Value change
-$17,981,443
Number of holders
193
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, INVESCO EXCH TRADED FD TR II - S&P MIDCP LOW (XMLV) has 193 institutional shareholders filing 13F forms. They hold 6,924,052 shares. .

Institutional Holders of INVESCO EXCH TRADED FD TR II - S&P MIDCP LOW (XMLV) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 43,110 $2,697,507 -$75,097 $62.37 5
2025 Q3 6,924,052 $439,771,525 -$17,981,443 $63.56 193
2025 Q2 7,231,271 $446,139,356 +$42,049,897 $61.67 201
2025 Q1 6,551,800 $403,400,988 -$8,574,607 $61.72 194
2024 Q4 6,690,423 $407,074,406 -$7,597,646 $60.82 199
2024 Q3 6,722,490 $410,136,787 -$15,849,031 $61.04 186
2024 Q2 7,037,420 $389,971,745 -$10,250,862 $55.23 185
2024 Q1 7,156,357 $402,929,356 -$34,043,866 $56.40 191
2023 Q4 6,811,976 $362,222,487 -$54,616,680 $53.18 186
2023 Q3 8,854,972 $435,130,560 +$8,047,468 $49.17 182
2023 Q2 9,130,539 $472,339,147 -$19,528,735 $51.75 187
2023 Q1 9,709,903 $508,499,728 -$82,426,929 $52.40 189
2022 Q4 11,246,637 $601,975,777 -$5,261,340 $53.49 195
2022 Q3 11,620,266 $558,423,906 +$28,705,891 $48.04 178
2022 Q2 11,011,228 $566,055,920 -$3,230,583 $51.39 187
2022 Q1 10,648,354 $593,550,389 -$12,987,475 $55.80 199
2021 Q4 11,119,357 $649,931,306 -$23,368,146 $58.46 203
2021 Q3 11,287,340 $594,108,985 -$29,430,532 $52.52 185
2021 Q2 11,815,995 $632,583,940 -$138,909,747 $53.48 202
2021 Q1 14,249,211 $745,903,107 -$159,568,186 $52.36 202
2020 Q4 17,443,846 $839,741,045 -$160,717,097 $48.12 211
2020 Q3 20,206,072 $840,807,079 -$213,796,680 $41.66 193
2020 Q2 25,319,842 $1,047,904,526 -$229,335,798 $41.38 197
2020 Q1 30,163,710 $1,202,747,602 -$247,453,720 $39.82 223
2019 Q4 36,970,092 $1,988,471,475 +$266,710,751 $53.81 253
2019 Q3 30,482,096 $1,602,457,912 +$159,109,529 $52.61 203
2019 Q2 27,324,046 $1,401,908,747 +$84,277,032 $51.27 185
2019 Q1 25,506,248 $1,266,140,921 +$304,491,616 $49.67 176
2018 Q4 18,843,571 $836,835,358 +$257,267,789 $44.39 141
2018 Q3 11,727,104 $569,151,820 +$65,543,161 $48.54 116
2018 Q2 11,047,868 $519,715,916 +$519,706,941 $47.01 109
2016 Q1 2,297 $113,000 $0 $49.19 1