INVESCO EXCH TRADED FD TR II - S&P500 MIN VAR (SPMV) Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2018 to Q3 2025

Type / Class
Equity / S&P500 MIN VAR
Symbol
SPMV
Price per share
$50.81
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
23,108
Total reported value
$1,148,399
% of total 13F portfolios
0%
Share change
-339
Value change
-$10,236
Number of holders
7
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 7 institutional investors reported holding 23,108 shares of INVESCO EXCH TRADED FD TR II - S&P500 MIN VAR (SPMV).

Institutional Holders of INVESCO EXCH TRADED FD TR II - S&P500 MIN VAR (SPMV) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 23,108 $1,148,399 -$10,236 $49.71 7
2025 Q2 23,447 $1,133,323 -$1,779,371 $48.34 7
2025 Q1 61,518 $2,885,938 +$21,328 $46.91 6
2024 Q4 61,033 $2,801,530 -$131,770 $45.90 8
2024 Q3 63,904 $2,990,028 +$114,821 $46.79 8
2024 Q2 61,450 $2,685,366 -$4,910,156 $43.70 7
2024 Q1 176,096 $7,534,303 +$1,575,779 $42.79 8
2023 Q4 139,266 $5,466,312 -$12,878,412 $39.25 7
2023 Q3 467,371 $16,912,267 -$511,629 $36.19 7
2023 Q2 481,492 $18,464,666 -$507,990 $38.32 8
2023 Q1 495,217 $18,284,949 -$1,803,751 $36.92 8
2022 Q4 544,837 $19,856,192 +$1,660,210 $36.44 11
2022 Q3 499,759 $16,793,000 +$275,955 $33.59 9
2022 Q2 491,373 $17,577,000 -$1,912,023 $35.77 9
2022 Q1 544,831 $21,879,000 +$235,154 $40.16 6
2021 Q4 538,964 $22,428,000 -$614,216 $41.60 4
2021 Q3 555,425 $20,628,000 -$1,224,186 $37.15 5
2021 Q2 588,183 $21,937,000 +$275,490 $37.30 5
2021 Q1 581,149 $20,364,000 +$16,223,689 $35.04 6
2020 Q4 120,471 $4,089,000 +$700,113 $33.93 7
2020 Q3 99,818 $3,166,000 -$378,856 $33.72 4
2020 Q2 112,729 $3,341,000 +$2,394,690 $29.58 4
2020 Q1 31,984 $818,000 -$73,796 $26.12 2
2019 Q4 33,951 $1,084,000 -$86,484 $31.93 3
2019 Q3 36,649 $1,126,000 -$92,236 $30.73 2
2019 Q2 39,659 $1,180,000 -$38,055 $29.75 1
2019 Q1 40,938 $1,162,000 -$35,282 $28.38 1
2018 Q4 42,181 $1,052,000 -$106,719 $24.94 1
2018 Q3 46,460 $1,364,000 -$21,344 $29.36 1
2018 Q2 47,187 $1,296,000 +$1,296,000 $27.47 1