LISTED FDS TR - WAHED FTSE ETF (HLAL)

Historical Holders from Q3 2019 to Q4 2025

Type / Class
Equity / WAHED FTSE ETF
Symbol
HLAL
Price per share
$62.00
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
407,049
Total reported value
$24,174,494
% of total 13F portfolios
0%
Share change
-129,826
Value change
-$6,861,501
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
42
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, LISTED FDS TR - WAHED FTSE ETF (HLAL) has 42 institutional shareholders filing 13F forms. They hold 407,049 shares. .

Institutional Holders of LISTED FDS TR - WAHED FTSE ETF (HLAL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 3,613 $224,000 +$224,000 6,199.83% 1
2025 Q3 407,049 $24,174,494 -$6,861,501 5,933% 42
2025 Q2 536,875 $28,750,408 -$592,960 5,352% 46
2025 Q1 495,214 $24,155,454 -$2,894,316 4,884% 42
2024 Q4 544,997 $28,741,415 +$2,705,211 5,274% 42
2024 Q3 471,132 $24,628,045 -$945,257 5,232% 39
2024 Q2 490,041 $24,821,988 +$7,181,486 5,063% 36
2024 Q1 348,715 $16,951,750 +$6,932,591 4,836% 36
2023 Q4 203,207 $9,283,881 -$102,703 4,546% 25
2023 Q3 210,080 $8,762,960 -$311,224 4,144% 27
2023 Q2 216,528 $9,304,333 +$2,624,098 4,278% 26
2023 Q1 157,496 $6,180,537 +$2,114,923 3,897% 20
2022 Q4 102,348 $3,653,888 -$1,925,527 3,521.01% 16
2022 Q3 166,454 $5,388,688 -$53,655 3,344.4% 17
2022 Q2 132,806 $4,712,630 -$156,019 3,518.66% 17
2022 Q1 132,692 $5,549,530 +$1,570,821 4,160.26% 13
2021 Q4 95,869 $4,179,763 -$1,409,669 4,320.72% 12
2021 Q3 127,839 $4,825,168 +$1,546,248 3,773.09% 9
2021 Q2 86,873 $3,273,840 +$657,444 3,768.92% 10
2021 Q1 69,421 $2,450,123 +$845,902 3,528% 8
2020 Q4 45,442 $1,539,712 -$1,304,408 3,387% 5
2020 Q3 85,522 $2,569,820 +$1,196,365 3,012.16% 6
2020 Q2 45,772 $1,225,788 +$763,384 2,678.52% 4
2020 Q1 17,247 $372,000 -$1,296,196 2,142.86% 3
2019 Q4 65,275 $1,772,788 +$526,554 2,752.31% 6
2019 Q3 46,186 $1,211,788 +$1,211,788 2,584.19% 2