LEGG MASON ETF INVT - FRANKLIN US LOW (LVHD)

Historical Holders from Q1 2016 to Q4 2025

Symbol
LVHD
Type / Class
Equity / FRANKLIN US LOW
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
7,206,678
Holdings value
$298,305,752
% of all portfolios
0%
Number of holders
103
Number of buys
56
Number of sells
36
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025 LEGG MASON ETF INVT - FRANKLIN US LOW (LVHD) has 103 institutional shareholders that have filed 13F forms with the Securities Exchange Commission (SEC). These institutions hold a total of 7,206,678 shares of the company stock as of 30 Sep 2025.

Institutional Holders of LEGG MASON ETF INVT - FRANKLIN US LOW (LVHD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 4,944 $197,175 +$2,353 $39.88 1
2025 Q3 7,206,678 $298,305,752 +$25,048,153 $41.34 103
2025 Q2 6,848,321 $272,977,257 +$18,155,094 $39.86 98
2025 Q1 6,373,076 $260,245,218 -$34,377,168 $40.97 83
2024 Q4 7,267,228 $278,895,992 -$18,245,463 $38.36 90
2024 Q3 7,743,573 $315,286,418 -$53,739,671 $40.72 82
2024 Q2 9,030,153 $323,819,537 -$60,739,181 $35.82 87
2024 Q1 10,721,219 $394,972,206 -$198,904,966 $36.84 92
2023 Q4 19,486 $708,330 -$71,538 $36.35 1
2023 Q3 18,269,036 $618,939,396 -$59,750,139 $33.88 106
2023 Q2 20,278,011 $743,615,210 -$49,119,408 $36.67 101
2023 Q1 21,616,470 $805,858,854 +$167,261,656 $37.28 100
2022 Q4 16,932,546 $644,425,453 +$77,911,090 $38.04 101
2022 Q3 12,166,569 $415,591,833 +$103,208,058 $34.16 78
2022 Q2 9,138,195 $344,207,119 -$118,443,088 $37.67 73
2022 Q1 11,813,592 $468,929,108 -$39,480,040 $39.69 75
2021 Q4 12,820,019 $513,809,080 -$36,852,488 $40.04 74
2021 Q3 13,737,464 $494,412,427 +$166,578,092 $35.99 70
2021 Q2 14,450,834 $527,176,602 +$9,544,963 $36.48 74
2021 Q1 14,188,080 $495,943,805 -$61,590,392 $34.95 68
2020 Q4 15,952,544 $513,065,720 -$27,185,331 $32.43 68
2020 Q3 16,815,651 $498,097,818 +$46,528,547 $29.62 63
2020 Q2 15,271,292 $439,477,753 -$68,670,446 $28.78 66
2020 Q1 17,678,765 $455,583,279 -$20,919,768 $25.77 73
2019 Q4 18,458,367 $628,072,596 +$29,383,035 $34.06 78
2019 Q3 17,201,056 $577,761,484 +$33,306,339 $33.59 63
2019 Q2 16,206,748 $521,180,171 +$14,837,480 $32.16 59
2019 Q1 15,752,378 $500,983,173 +$933,347 $31.81 49
2018 Q4 15,540,991 $445,648,288 +$13,237,906 $28.68 48
2018 Q3 20,268,534 $621,706,109 +$132,167,251 $30.62 49
2018 Q2 15,489,746 $462,917,853 -$17,818,720 $29.87 43
2018 Q1 16,124,369 $476,589,473 +$156,433,392 $29.56 44
2017 Q4 10,825,428 $341,267,853 +$33,087,440 $31.53 43
2017 Q3 9,617,501 $291,201,000 +$229,198,994 $30.27 34
2017 Q2 2,045,987 $61,288,000 +$5,079,563 $29.98 31
2017 Q1 1,810,068 $53,754,000 -$607,376 $29.73 28
2016 Q4 1,867,267 $53,386,000 +$8,028,874 $28.56 27
2016 Q3 1,461,042 $40,589,000 +$9,074,203 $27.88 21
2016 Q2 1,107,035 $31,368,000 +$23,747,859 $28.31 15
2016 Q1 258,653 $6,963,000 +$6,863,998 $27.06 10