JP Morgan Exchange Traded Fund - Betbuld Japan (BBJP) Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2018 to Q3 2025

Type / Class
Equity / Betbuld Japan
Symbol
BBJP
Price per share
$66.32
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
144,434
Total reported value
$9,579,000
% of total 13F portfolios
0%
Share change
-1,459
Value change
-$96,762
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 144,434 shares of JP Morgan Exchange Traded Fund - Betbuld Japan (BBJP).

Institutional Holders of JP Morgan Exchange Traded Fund - Betbuld Japan (BBJP) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 144,434 $9,579,000 -$96,762 $66.32 1
2025 Q2 145,893 $9,013,000 +$346,761 $61.78 1
2025 Q1 140,280 $7,874,000 -$252,981 $56.13 1
2024 Q4 144,787 $7,947,000 +$515,613 $54.89 1
2024 Q3 135,393 $8,026,000 -$578,625 $59.28 1
2024 Q2 145,154 $8,191,000 +$29,626 $56.43 1
2024 Q1 144,629 $8,468,000 -$46,723 $58.55 1
2023 Q4 145,427 $7,638,000 +$220,326 $52.52 1
2023 Q3 141,232 $7,095,000 +$135,588 $50.24 1
2023 Q2 138,533 $7,140,000 -$275,894 $51.54 1
2023 Q1 143,886 $6,964,000 +$1,113 $48.40 1
2022 Q4 143,863 $6,459,000 +$50,105 $44.90 1
2022 Q3 142,747 $5,828,000 -$1,118,347 $40.83 1
2022 Q2 170,139 $7,498,000 -$13,195,040 $44.07 1
2022 Q1 431,224 $21,728,000 +$14,164,229 $50.74 5
2021 Q4 149,075 $8,211,000 +$791,881 $55.08 1
2021 Q3 134,698 $7,912,000 -$222,210 $58.74 1
2021 Q2 136,893 $7,733,000 -$7,596,144,032 $56.52 2
2021 Q1 266,814,301 $7,598,957,611 +$1,562,037,707 $28.48 91
2020 Q4 212,634,606 $5,953,801,047 +$145,911,630 $28.00 104
2020 Q3 207,177,872 $5,152,912,736 +$171,016,584 $24.67 92
2020 Q2 200,339,930 $4,594,246,694 +$2,017,289,599 $22.93 86
2020 Q1 112,538,387 $2,302,191,201 -$1,065,561,379 $20.47 79
2019 Q4 164,175,711 $4,028,846,708 +$113,682,257 $24.54 93
2019 Q3 159,790,014 $3,793,388,453 +$174,829,637 $23.74 75
2019 Q2 152,454,661 $3,464,549,792 +$252,616,686 $22.81 64
2019 Q1 141,358,078 $3,211,682,541 -$225,326,231 $22.72 54
2018 Q4 151,278,096 $3,194,987,117 +$1,530,319,487 $21.12 43
2018 Q3 78,654,708 $1,962,468,000 +$1,947,893,186 $24.95 30
2018 Q2 581,328 $14,071,000 +$14,070,982 $24.18 2