SPDR INDEX SHS FDS - PORTFOLIO DEVLPD (SPDW)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / PORTFOLIO DEVLPD
Symbol
SPDW
Price per share
$44.41
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
565,507,296
Total reported value
$24,193,735,039
% of total 13F portfolios
0.13%
Share change
+32,119,856
Value change
+$1,377,349,036
Avg buy value change
+0.01%
Avg sell value change
-0.01%
Number of holders
1,056
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, SPDR INDEX SHS FDS - PORTFOLIO DEVLPD (SPDW) has 1,056 institutional shareholders filing 13F forms. They hold 565,507,296 shares. .

Institutional Holders of SPDR INDEX SHS FDS - PORTFOLIO DEVLPD (SPDW) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 18,284,578 $816,891,183 +$49,575,276 4,441% 45
2025 Q3 565,507,296 $24,193,735,039 +$1,377,349,036 4,279% 1,056
2025 Q2 535,493,596 $21,675,089,027 +$993,340,260 4,049% 1,036
2025 Q1 511,152,704 $18,640,658,133 +$443,887,295 3,641% 979
2024 Q4 499,896,221 $17,127,593,614 +$1,395,847,045 3,413% 955
2024 Q3 456,721,132 $17,141,954,420 +$146,088,010 3,756% 881
2024 Q2 453,306,776 $15,923,705,427 +$539,151,668 3,508% 858
2024 Q1 441,244,887 $15,809,098,113 +$538,269,355 3,584% 844
2023 Q4 1,281,171 $43,572,691 -$44,724,344 3,401% 15
2023 Q3 410,730,804 $12,743,075,306 +$838,676,902 3,101% 741
2023 Q2 391,386,114 $12,734,620,227 +$503,776,617 3,254% 719
2023 Q1 372,757,668 $11,968,504,523 +$1,133,657,384 3,212% 691
2022 Q4 333,205,367 $9,897,927,822 +$871,053,153 2,969% 669
2022 Q3 290,610,224 $7,511,228,851 +$370,444,672 2,580% 597
2022 Q2 277,661,737 $8,011,473,948 +$146,126,131 2,883.99% 616
2022 Q1 267,732,223 $9,172,174,495 +$790,932,427 3,428% 628
2021 Q4 248,061,509 $9,046,397,560 +$825,832,798 3,648% 637
2021 Q3 219,002,740 $7,922,799,196 +$434,157,153 3,621% 540
2021 Q2 209,406,799 $7,676,049,096 +$461,591,765 3,679.01% 548
2021 Q1 195,949,039 $6,928,430,052 +$804,432,964 3,536% 525
2020 Q4 171,559,553 $5,788,684,949 -$113,734,471 3,375% 475
2020 Q3 172,945,980 $5,065,705,297 +$6,442,298 2,926% 402
2020 Q2 174,318,237 $4,824,795,653 +$1,189,227,175 2,762% 399
2020 Q1 129,007,417 $3,094,226,798 +$613,629,995 2,394% 383
2019 Q4 105,969,338 $3,323,473,381 +$452,759,561 3,135% 404
2019 Q3 84,498,797 $2,484,632,832 -$188,654,610 2,935.99% 316
2019 Q2 90,934,389 $2,693,917,801 -$218,100,950 2,958.98% 300
2019 Q1 98,482,343 $2,877,546,613 +$549,770,942 2,921% 292
2018 Q4 79,407,711 $2,122,868,904 +$257,406,586 2,645% 283
2018 Q3 60,876,796 $1,871,945,766 +$271,044,145 3,077% 207
2018 Q2 55,949,093 $1,702,251,854 +$167,770,710 3,039.99% 191
2018 Q1 50,730,776 $1,596,635,333 +$333,070,506 3,142.98% 171
2017 Q4 40,126,667 $1,280,129,616 +$547,211,504 3,170.01% 112
2017 Q3 22,771,481 $698,149,580 -$94,721,139 3,067.04% 52
2017 Q2 25,887,986 $755,853,000 +$34,568,382 2,913% 51
2017 Q1 21,033,866 $583,120,000 +$125,627,678 2,772.94% 50
2016 Q4 15,554,281 $401,586,000 -$46,061,269 2,570.04% 50
2016 Q3 17,342,539 $458,987,597 -$34,228,439 2,646.9% 54
2016 Q2 18,642,162 $464,732,745 -$53,893,943 2,493.02% 51
2016 Q1 20,786,482 $526,229,000 +$25,999,048 2,530.89% 46
2015 Q4 19,716,073 $507,476,000 +$55,874,952 2,575.03% 48
2015 Q3 17,531,488 $444,272,000 +$1,359,767 2,532.94% 43
2015 Q2 17,451,477 $490,755,932 +$14,802,415 2,812.02% 48
2015 Q1 16,892,336 $476,963,586 -$7,352,692 2,823.09% 49
2014 Q4 17,220,555 $463,210,151 -$24,679,325 2,689.99% 45
2014 Q3 18,429,607 $522,760,767 -$48,619,106 2,836.98% 47
2014 Q2 20,119,447 $608,877,304 +$24,128,270 3,026.09% 45
2014 Q1 19,337,286 $568,683,501 +$28,969,392 2,939.13% 43