J P MORGAN EXCHANGE TRADED F - BETABUILDERS CDA (BBCA) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2019 to Q4 2025

Type / Class
Equity / BETABUILDERS CDA
Symbol
BBCA
Price per share
$93.00
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
81,519,857
Total reported value
$7,110,744,544
% of total 13F portfolios
0%
Share change
-1,861,321
Value change
-$161,660,328
Number of holders
206
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 206 institutional investors reported holding 81,519,857 shares of J P MORGAN EXCHANGE TRADED F - BETABUILDERS CDA (BBCA).

Institutional Holders of J P MORGAN EXCHANGE TRADED F - BETABUILDERS CDA (BBCA) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 59,051 $5,500,985 +$344,081 $93.00 19
2025 Q3 81,519,857 $7,110,744,544 -$161,660,328 $87.23 206
2025 Q2 83,465,285 $6,735,311,644 +$21,449,839 $80.70 208
2025 Q1 83,231,865 $5,955,968,815 -$27,835,064 $71.56 178
2024 Q4 83,655,929 $5,904,988,249 +$114,016,737 $70.59 197
2024 Q3 82,312,098 $5,950,333,853 -$493,522,353 $72.29 190
2024 Q2 89,152,399 $5,792,439,266 +$86,302,255 $64.97 169
2024 Q1 87,800,834 $5,866,015,042 +$121,686,732 $66.81 161
2023 Q4 61 $3,911 +$3,911 $64.11 1
2023 Q3 84,935,539 $4,939,033,497 +$196,221,661 $58.15 145
2023 Q2 81,509,142 $4,993,229,938 -$109,905,480 $61.26 138
2023 Q1 83,316,111 $4,959,796,874 -$1,349,790 $59.53 140
2022 Q4 82,994,756 $4,754,775,507 -$80,000,986 $57.29 133
2022 Q3 84,890,478 $4,538,701,588 -$77,517,122 $53.45 115
2022 Q2 86,274,882 $5,068,016,513 +$91,726,843 $58.74 127
2022 Q1 84,625,992 $5,932,798,653 +$152,617,586 $70.14 100
2021 Q4 82,515,088 $5,545,006,094 +$140,926,365 $67.19 112
2021 Q3 80,377,007 $5,059,747,941 +$21,173,655 $62.95 93
2021 Q2 80,097,769 $5,183,123,010 +$5,153,690,868 $64.71 84
2021 Q1 454,976 $16,102,216 +$9,611,150 $29.57 8
2020 Q4 129,493 $6,338,000 +$267,902 $45.78 2
2020 Q3 119,511 $5,939,000 +$24,379 $44.28 2
2020 Q2 118,489 $5,861,000 +$969,999 $43.66 2
2020 Q1 75,578 $4,891,000 $0 $64.71 1
2019 Q4 75,578 $4,891,000 $0 $64.71 1
2019 Q3 75,578 $4,891,000 $0 $64.71 1
2019 Q2 75,578 $4,891,000 $0 $64.71 1
2019 Q1 75,578 $4,891,000 $0 $64.71 1