J P MORGAN EXCHANGE TRADED F - BETABUILDRS US (BBUS) Institutional Ownership

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

Type / Class
Equity / BETABUILDRS US
Symbol
BBUS
Price per share
$123.31
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
25,748,590
Total reported value
$3,106,480,125
% of total 13F portfolios
0.02%
Share change
+608,348
Value change
+$75,153,228
Number of holders
185
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 185 institutional investors reported holding 25,748,590 shares of J P MORGAN EXCHANGE TRADED F - BETABUILDRS US (BBUS).

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 1,125,605 $138,808,389 +$25,139,142 $123.31 15
2025 Q3 25,748,590 $3,106,480,125 +$75,153,228 $120.66 185
2025 Q2 25,234,217 $2,823,713,032 +$119,024,301 $111.92 173
2025 Q1 24,281,634 $2,449,721,988 +$608,561,692 $100.89 163
2024 Q4 17,711,865 $1,876,833,712 -$75,131,382 $105.92 149
2024 Q3 18,345,803 $1,900,378,528 +$418,941,368 $103.58 132
2024 Q2 14,222,935 $1,395,582,709 -$344,234,818 $98.12 119
2024 Q1 17,838,071 $1,684,356,693 +$63,139,305 $94.43 110
2023 Q4 98,967 $8,500,318 $85.89 1
2023 Q3 14,659,659 $1,130,001,215 +$146,150,950 $77.08 83
2023 Q2 12,751,321 $1,016,494,954 +$123,164,310 $79.71 69
2023 Q1 11,245,727 $826,931,162 +$17,708,114 $73.53 66
2022 Q4 10,603,727 $726,804,076 +$40,316,575 $68.54 60
2022 Q3 11,012,126 $708,629,536 +$67,505,415 $64.34 51
2022 Q2 9,961,087 $675,344,004 +$34,317,717 $67.78 46
2022 Q1 9,352,282 $764,724,258 +$137,115,523 $81.83 44
2021 Q4 7,548,192 $652,227,556 +$84,274,389 $86.42 33
2021 Q3 6,505,534 $513,404,750 -$390,967,861 $78.75 26
2021 Q2 11,467,600 $904,130,858 +$584,999,963 $78.81 18
2021 Q1 4,049,596 $294,875,058 +$84,616,084 $72.81 16
2020 Q4 2,889,238 $198,807,858 +$36,652,316 $68.81 16
2020 Q3 2,403,790 $146,227,000 +$124,168,944 $61.14 13
2020 Q2 367,547 $20,624,000 +$16,178,678 $56.11 11
2020 Q1 83,440 $3,871,000 +$848,475 $46.39 8
2019 Q4 61,558 $3,598,000 +$1,400,243 $58.40 6
2019 Q3 37,435 $2,006,000 -$19,837,847 $53.78 4
2019 Q2 413,309 $21,840,853 -$5,192,647 $52.83 7
2019 Q1 511,862 $26,085,000 +$26,085,002 $50.92 4