JPMorgan BetaBuilders Canada E - COM (BBCA) Institutional Ownership

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

Type / Class
Equity / COM
Symbol
BBCA
Price per share
$87.22
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
89,261
Total reported value
$7,786,130
% of total 13F portfolios
0%
Share change
-3,644
Value change
-$317,867
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2 institutional investors reported holding 89,261 shares of JPMorgan BetaBuilders Canada E - COM (BBCA).

Institutional Holders of JPMorgan BetaBuilders Canada E - COM (BBCA) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 89,261 $7,786,130 -$317,867 $87.22 2
2025 Q2 92,905 $7,496,923 +$28,064 $80.67 2
2025 Q1 92,556 $6,623,527 -$164,826 $71.58 2
2024 Q4 94,868 $6,697,026 -$96,493 $70.59 3
2024 Q3 96,235 $6,957,232 +$45,833 $72.29 3
2024 Q2 95,601 $6,211,549 -$47,686 $64.97 3
2024 Q1 96,335 $6,436,003 -$137,563 $66.81 3
2023 Q4 98,394 $6,308,517 -$55,980 $64.12 3
2023 Q3 99,267 $5,772,141 -$93,797 $58.15 3
2023 Q2 100,880 $6,179,869 +$19,971 $61.26 3
2023 Q1 100,554 $5,985,556 -$92,689 $59.53 3
2022 Q4 102,111 $5,849,706 -$17,360 $57.29 3
2022 Q3 102,414 $5,473,414 +$492,488 $53.43 3
2022 Q2 93,200 $5,474,422 -$7,246,479 $58.74 3
2022 Q1 196,154 $13,758,548 +$7,404,760 $70.14 5
2021 Q4 90,585 $6,087,083 -$28,561 $67.20 3
2021 Q3 91,010 $5,729,143 -$67,276,443 $62.95 3
2021 Q2 1,129,767 $73,107,466 -$4,552,162,200 $64.71 7
2021 Q1 155,688,443 $4,600,601,166 +$111,798,735 $29.55 68
2020 Q4 152,109,081 $4,081,104,870 +$28,236,944 $26.83 67
2020 Q3 151,057,722 $3,611,484,578 +$76,288,797 $23.85 62
2020 Q2 147,865,973 $3,343,239,929 +$48,790,416 $22.61 55
2020 Q1 145,829,260 $2,772,222,006 -$3,932,474 $19.01 56
2019 Q4 145,957,114 $3,795,943,366 -$7,107,822 $26.01 64
2019 Q3 146,254,809 $3,659,290,338 +$8,002,005 $25.01 51
2019 Q2 145,944,503 $3,609,458,359 +$1,248,424,801 $24.88 49
2019 Q1 95,791,835 $2,290,380,800 +$82,302,130 $23.91 47
2018 Q4 92,371,396 $1,908,379,000 +$639,456,582 $20.66 36
2018 Q3 61,277,546 $1,506,816,000 +$1,506,801,457 $24.59 23