J P MORGAN EXCHANGE TRADED F - BETABUILDERS US (BBMC) Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2020 to Q4 2025

Type / Class
Equity / BETABUILDERS US
Symbol
BBMC
Price per share
$106.62
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
17,920,008
Total reported value
$1,863,681,540
% of total 13F portfolios
0%
Share change
-334,706
Value change
-$34,759,288
Number of holders
40
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 40 institutional investors reported holding 17,920,008 shares of J P MORGAN EXCHANGE TRADED F - BETABUILDERS US (BBMC).

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 11,237 $1,198,089 -$69,517 $106.62 2
2025 Q3 17,920,008 $1,863,681,540 -$34,759,288 $104.00 40
2025 Q2 18,250,566 $1,778,493,978 -$40,655,585 $97.45 40
2025 Q1 18,667,361 $1,682,304,922 -$9,939,051 $90.12 49
2024 Q4 18,742,092 $1,803,554,165 +$6,733,022 $96.23 61
2024 Q3 18,667,140 $1,763,572,127 +$2,014,020 $94.47 40
2024 Q2 18,647,734 $1,641,373,124 +$64,475,368 $88.02 40
2024 Q1 17,912,712 $1,656,030,293 -$18,980,589 $92.45 39
2023 Q4 18,099,205 $1,533,066,019 -$52,161,404 $84.70 32
2023 Q3 18,750,864 $1,411,741,333 -$136,130,322 $75.29 25
2023 Q2 20,557,227 $1,629,573,346 -$56,268,680 $79.27 21
2023 Q1 21,269,953 $1,603,754,001 +$229,743,045 $75.40 21
2022 Q4 18,238,717 $1,324,268,255 -$40,379,813 $72.61 21
2022 Q3 18,822,248 $1,276,335,000 -$37,774,561 $67.80 17
2022 Q2 19,379,313 $1,352,651,000 +$75,157,891 $69.80 15
2022 Q1 18,295,771 $1,565,022,000 +$96,321,105 $85.55 17
2021 Q4 17,158,515 $1,575,836,000 -$78,452,764 $91.83 16
2021 Q3 18,011,648 $1,579,801,000 -$47,327,233 $87.70 15
2021 Q2 18,550,599 $1,668,438,000 -$50,292,962 $89.93 17
2021 Q1 19,111,208 $1,637,831,895 +$198,069,014 $85.70 13
2020 Q4 16,800,089 $1,323,588,000 +$1,314,743,846 $78.79 8
2020 Q3 112,244 $7,103,000 -$564,605 $63.28 4
2020 Q2 121,172 $7,169,000 +$7,168,996 $59.16 1