PROSHARES TR - ULT FTSE CHIN 50 (XPP) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / ULT FTSE CHIN 50
Symbol
XPP
Price per share
$27.85
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
158,388
Total reported value
$4,844,397
% of total 13F portfolios
0%
Share change
+132,622
Value change
+$4,058,548
Number of holders
7
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 7 institutional investors reported holding 158,388 shares of PROSHARES TR - ULT FTSE CHIN 50 (XPP).

Institutional Holders of PROSHARES TR - ULT FTSE CHIN 50 (XPP) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 158,388 $4,844,397 +$4,058,548 $30.59 7
2025 Q2 25,766 $646,511 -$136,715 $25.08 6
2025 Q1 31,482 $769,760 +$458,496 $24.45 7
2024 Q4 12,949 $237,929 +$219,832 $18.42 8
2024 Q3 1,022 $21,506 -$496,720 $21.02 5
2024 Q2 34,750 $512,746 -$35,201 $14.78 7
2024 Q1 37,279 $489,041 +$17,765 $13.14 8
2023 Q4 109 $1,204 -$476,295 $6.36 1
2023 Q3 44,871 $750,276 -$1,512 $16.73 9
2023 Q2 44,604 $824,473 -$79,935 $18.49 6
2023 Q1 49,557 $1,116,244 +$449,295 $22.53 7
2022 Q4 29,612 $638,857 +$577,489 $21.58 5
2022 Q3 2,876 $55,000 -$739,621 $18.99 4
2022 Q2 24,135 $808,000 -$301,491 $33.48 5
2022 Q1 34,020 $1,054,000 +$487,000 $30.70 6
2021 Q4 18,328 $792,000 -$325,769 $43.16 6
2021 Q3 24,518 $1,208,000 -$797,091 $48.88 7
2021 Q2 36,344 $2,573,621 +$708,738 $70.82 10
2021 Q1 26,711 $1,918,776 -$115,488 $71.84 10
2020 Q4 27,814 $2,017,884 +$187,203 $72.52 7
2020 Q3 26,598 $1,540,000 -$520,562 $57.92 5
2020 Q2 36,693 $1,935,000 +$738,415 $52.72 5
2020 Q1 24,791 $1,171,000 -$208,885 $47.23 5
2019 Q4 75,025 $5,083 -$1,086,312 $0.07 11
2019 Q3 82,434 $4,527,000 +$49,811 $54.92 10
2019 Q2 74,691 $4,976,000 +$3,227,763 $66.63 10
2019 Q1 26,363 $1,893,000 -$679,322 $71.81 10
2018 Q4 39,285 $2,230,000 -$96,427 $56.75 7
2018 Q3 40,249 $2,791,000 -$1,407,637 $69.35 8
2018 Q2 60,053 $4,267,000 +$323,412 $71.03 11
2018 Q1 55,467 $4,727,000 +$2,482,810 $85.23 12
2017 Q4 26,381 $2,214 -$309 $0.08 10
2017 Q3 29,952 $2,221 +$814 $0.07 5
2017 Q2 19,200 $1,169 -$2,209 $0.06 8
2017 Q1 55,437 $3,168 -$255,271 $0.06 7
2016 Q4 83,127 $3,868,000 +$1,513,051 $46.48 11
2016 Q3 56,240 $3,046,000 -$400,704 $54.14 12
2016 Q2 58,043 $2,565 -$1,330 $0.04 5
2016 Q1 91,825 $3,958 +$1,464 $0.04 7
2015 Q4 54,075 $2,614 -$25,285 $0.05 9
2015 Q3 78,409 $3,708,000 -$1,577,733 $47.30 10
2015 Q2 87,039 $7,235,000 -$5,680,720 $83.10 8
2015 Q1 155,602 $12,147,807 +$6,400,409 $78.07 11
2014 Q4 74,143 $5,133,924 +$1,202,573 $69.24 13
2014 Q3 58,635 $3,380 -$2,051,097 $0.06 9
2014 Q2 132,628 $7,232,566 +$3,510,754 $54.53 10
2014 Q1 69,624 $3,456,719 -$1,973,790 $49.65 12