Loomis Sayles Fds Bond Fund In - BOND ETF

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / BOND ETF
Price per share
$12.18
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
10,805
Total reported value
$131,610
Share change
0
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Loomis Sayles Fds Bond Fund In - BOND ETF across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 10,805 $131,610 1,218.05% 1
2025 Q2 10,805 $130,098 -$128,300 1,204.05% 1
2025 Q1 21,605 $256,669 +$129,937 1,188.01% 2
2024 Q4 10,668 $125,351 +$2,021 1,175.02% 1
2024 Q3 10,496 $126,786 +$1,570 1,207.95% 1
2024 Q2 10,366 $118,793 -$84,845 1,145.99% 1
2024 Q1 17,685 $204,964 -$2,054 1,158.98% 2
2023 Q4 17,861 $206,705 +$110,328 1,163.52% 3
2023 Q3 8,084 $89,166 $0 1,102.99% 1
2023 Q2 8,084 $92,480 -$12,000 1,143.99% 1
2023 Q1 9,155 $105,531 -$35,491 1,138.72% 2
2022 Q4 12,268 $139,244 $0 1,135.03% 2
2022 Q3 8,084 $91,000 $0 1,125.68% 1
2022 Q2 8,084 $95,000 -$8,097 1,175.16% 1
2022 Q1 8,773 $112,000 +$112,000 1,276.64% 1
2019 Q3 0 $0 -$47,000 0
2019 Q2 3,413 $47,000 +$47,000 1,377.09% 1
2018 Q1 0 $0 -$14,555,995 0
2017 Q4 1,057,810 $14,556,000 -$1,771,444 1,376.05% 1
2017 Q3 1,186,544 $16,944,000 -$327,129 1,428.01% 1
2017 Q2 1,209,452 $17,150,000 +$17,150,029 1,418% 1
2016 Q3 0 $0 -$2,275,622,995 0
2016 Q2 167,325 $2,275,623,000 -$94,000 1,360,001.79% 1
2016 Q1 7,159 $94,000 -$152,702 1,313.03% 1
2015 Q4 248,212 $3,205,992 +$154,283 1,290.55% 3
2015 Q3 6,867 $94,000 -$6,139,215 1,368.87% 1
2015 Q2 403,993 $6,237,493 -$1,491,744 1,487.69% 2
2015 Q1 506,127 $7,370,000 +$1,528,826 1,456.23% 2
2014 Q4 401,150 $5,949,053 +$243,954 1,483% 1
2014 Q3 384,700 $5,958,996 -$153,956 1,549% 1
2014 Q2 394,355 $6,254,825 -$40,443 1,587.6% 2
2014 Q1 396,927 $6,136,493 +$3,452,496 1,546% 1