KRANESHARES TRUST - ASIA PACIFIC ETF (KHYB)

Historical Holders from Q2 2018 to Q3 2025

Type / Class
Equity / ASIA PACIFIC ETF
Symbol
KHYB
Price per share
$24.42
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
113,085
Total reported value
$2,767,091
% of total 13F portfolios
0%
Share change
+59,515
Value change
+$1,456,687
Number of holders
12
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, KRANESHARES TRUST - ASIA PACIFIC ETF (KHYB) has 12 institutional shareholders filing 13F forms. They hold 113,085 shares. .

Institutional Holders of KRANESHARES TRUST - ASIA PACIFIC ETF (KHYB) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 113,085 $2,767,091 +$1,456,687 $24.48 12
2025 Q2 53,570 $1,283,248 -$2,582,962 $23.96 7
2025 Q1 159,490 $3,844,697 +$2,749,375 $24.11 8
2024 Q4 43,774 $1,058,575 +$468,368 $24.15 5
2024 Q3 124,914 $3,133,317 +$712,729 $25.08 6
2024 Q2 96,500 $2,384,011 +$767,880 $24.70 5
2024 Q1 65,516 $1,616,063 +$341,295 $24.64 6
2023 Q4 51,699 $1,251,715 +$1,244,373 $24.06 4
2023 Q3 279 $6,921 -$2,388,505 $24.81 2
2023 Q2 91,602 $2,396,226 +$1,337,017 $26.16 3
2023 Q1 39,954 $1,070,368 -$3,196,262 $26.79 5
2022 Q4 159,262 $4,288,926 +$704,888 $26.93 4
2022 Q3 136,019 $3,466,000 -$1,255,004 $25.48 7
2022 Q2 178,311 $4,859,000 +$2,858,204 $27.25 7
2022 Q1 73,411 $2,174,000 -$1,167,394 $29.60 6
2021 Q4 102,811 $3,385,000 -$1,242,001 $32.92 3
2021 Q3 123,684 $4,558,000 +$4,558,000 $36.85 3
2021 Q2 0 $0 -$1,391,001 $24.42 0
2021 Q1 35,592 $1,391,000 +$508,345 $45.85 2
2020 Q4 22,589 $896,000 -$1,530,763 $39.67 1
2020 Q3 61,181 $2,435,000 -$3,213,770 $39.80 1
2020 Q2 142,574 $5,630,000 -$1,706,282 $39.51 3
2020 Q1 185,754 $7,044,000 -$361,324 $37.92 2
2019 Q4 195,283 $7,968,000 -$206,268 $40.80 2
2019 Q3 200,338 $8,136,000 +$5,613,777 $40.61 2
2019 Q2 62,101 $2,540,000 -$5,857,012 $40.90 1
2019 Q1 205,511 $8,393,440 -$143,818 $40.84 2
2018 Q4 209,032 $8,225,000 -$1,593,530 $39.35 2
2018 Q3 249,530 $9,961,000 -$38,135 $39.94 2
2018 Q2 250,000 $9,993,000 +$9,992,996 $39.99 2