INVESCO EXCH TRADED FD TR II - SOLAR ETF (TAN)

Historical Holders from Q1 2016 to Q1 2025

Symbol
TAN
CUSIP
46138G706
Type / Class
Equity / SOLAR ETF
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
10.9M
Holdings value
$361M
% of all portfolios
0.001%
Grand Portfolio weight change
+0%
Number of holders
201
Number of buys
56
Number of sells
-121
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of INVESCO EXCH TRADED FD TR II - SOLAR ETF (TAN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 105K $3.2M -$4.27M $30.46 25
2024 Q4 10.9M $361M +$37.1M $33.12 201
2024 Q3 9.48M $408M +$41.7M $43.11 221
2024 Q2 8.53M $343M -$125M $40.21 238
2024 Q1 10.8M $490M -$151M $45.37 245
2023 Q4 13.8M $738M +$274M $53.35 278
2023 Q3 8.21M $424M -$145M $51.79 263
2023 Q2 13.2M $945M +$48.6M $71.42 288
2023 Q1 12.5M $964M +$116M $77.63 311
2022 Q4 10.9M $797M -$33.1M $72.94 331
2022 Q3 11.9M $873M +$156M $73.61 307
2022 Q2 9.73M $694M -$137M $71.39 292
2022 Q1 11.5M $866M +$4.74M $75.46 304
2021 Q4 11.6M $895M -$98.5M $76.97 319
2021 Q3 12.6M $1.01B -$19.3M $79.95 301
2021 Q2 12.8M $1.14B +$97M $89.33 335
2021 Q1 11.7M $1.07B -$42M $91.77 302
2020 Q4 12M $1.22B +$355M $102.76 293
2020 Q3 8.31M $538M +$224M $64.79 176
2020 Q2 4.94M $178M +$14.5M $36.10 120
2020 Q1 4.48M $113M -$10.7M $25.23 112
2019 Q4 3.21M $98.8M -$15.4M $30.80 98
2019 Q3 3.64M $107M +$17.6M $29.37 102
2019 Q2 2.86M $81.1M -$5.04M $28.27 89
2019 Q1 3.22M $74.7M +$15.8M $23.16 80
2018 Q4 2.5M $46.4M +$1.27M $18.55 69
2018 Q3 2.43M $50.3M -$8.19M $20.74 65
2018 Q2 2.78M $64.2M +$64.1M $23.10 72
2018 Q1 5.43K $133K +$3.07K $24.64 2
2017 Q4 5.3K $133K -$5.03K $24.95 2
2017 Q3 5.5K $119K +$49.9K $21.66 2
2017 Q2 3.2K $63.2K +$50.5K $19.62 2
2017 Q1 657 $11.7K -$18.7K $17.62 2
2016 Q4 1.71K $28.3K -$15.8K $16.53 2
2016 Q3 2.67K $54.2K -$20K $20.31 2
2016 Q2 3.61K $75.4K +$8.89K $20.89 2
2016 Q1 35.3K $820K $0 $22.90 3