SPDR SERIES TRUST - PORTFOLIO S&P400 (SPMD)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / PORTFOLIO S&P400
Symbol
SPMD
Price per share
$57.91
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
221,307,758
Total reported value
$12,652,307,895
% of total 13F portfolios
0.05%
Share change
+8,157,732
Value change
+$468,100,769
Avg buy value change
+0.01%
Avg sell value change
-0%
Number of holders
721
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, SPDR SERIES TRUST - PORTFOLIO S&P400 (SPMD) has 721 institutional shareholders filing 13F forms. They hold 221,307,758 shares. .

Institutional Holders of SPDR SERIES TRUST - PORTFOLIO S&P400 (SPMD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 3,001,735 $175,154,692 +$8,022,491 5,791% 27
2025 Q3 221,307,758 $12,652,307,895 +$468,100,769 5,719% 721
2025 Q2 213,049,386 $11,589,931,904 +$298,387,799 5,438% 711
2025 Q1 207,345,852 $10,602,551,754 +$574,258,014 5,118% 666
2024 Q4 194,934,856 $10,667,099,555 +$826,077,590 5,469% 674
2024 Q3 178,601,819 $9,765,661,987 +$536,310,365 5,468% 615
2024 Q2 168,498,430 $8,644,708,800 +$412,650,947 5,130% 575
2024 Q1 160,237,005 $8,543,886,357 +$856,915,010 5,334% 561
2023 Q4 230,608 $11,235,258 +$394,684 4,872.02% 6
2023 Q3 132,150,580 $5,786,857,329 +$297,493,934 4,379% 475
2023 Q2 125,146,491 $5,743,591,382 +$459,597,928 4,589% 452
2023 Q1 114,819,689 $5,043,558,435 +$244,582,409 4,394% 426
2022 Q4 107,037,199 $4,556,705,567 +$219,438,082 4,250% 415
2022 Q3 99,448,828 $3,840,159,999 +$194,451,222 3,856.04% 367
2022 Q2 94,760,697 $3,765,943,857 +$19,005,122 3,969.01% 362
2022 Q1 92,503,732 $4,359,008,714 -$52,613,002 4,715.9% 382
2021 Q4 94,590,290 $4,701,493,436 +$590,875,400 4,973.93% 379
2021 Q3 81,763,679 $3,776,552,554 -$41,330,336 4,615.98% 323
2021 Q2 83,289,662 $3,932,049,762 +$113,076,620 4,720.88% 332
2021 Q1 80,777,114 $3,697,626,843 +$423,444,211 4,575.95% 303
2020 Q4 67,442,589 $2,727,214,483 -$41,764,324 4,039.95% 269
2020 Q3 63,528,572 $2,074,596,261 +$49,652,804 3,262.97% 221
2020 Q2 60,677,131 $1,897,543,105 +$470,949,325 3,125% 217
2020 Q1 45,342,133 $1,149,514,246 +$98,602,402 2,532.92% 208
2019 Q4 38,735,548 $1,403,191,060 +$107,315,547 3,622.85% 245
2019 Q3 34,673,297 $1,175,267,866 +$61,835,325 3,388.99% 212
2019 Q2 32,916,154 $1,120,193,755 +$140,578,145 3,406.96% 211
2019 Q1 28,254,568 $943,194,201 +$206,085,642 3,332.98% 205
2018 Q4 21,200,001 $625,300,778 +$69,249,140 2,941.87% 172
2018 Q3 17,307,497 $624,689,680 +$213,068,634 3,614.88% 148
2018 Q2 11,317,388 $394,831,000 +$123,305,325 3,487.93% 127
2018 Q1 7,765,169 $257,437,000 +$11,779,279 3,316.01% 106
2017 Q4 7,383,334 $247,078,000 +$190,805,077 3,336.32% 74
2017 Q3 1,217,871 $116,606,000 -$574,018 9,574.97% 25
2017 Q2 1,224,068 $113,777,988 -$5,127,533 9,294.98% 23
2017 Q1 1,279,886 $116,578,752 +$15,647,692 9,109.09% 23
2016 Q4 1,113,450 $98,805,000 -$23,144,714 8,875.6% 26
2016 Q3 1,377,369 $113,347,000 +$95,839,938 8,229.09% 26
2016 Q2 222,686 $17,308,000 -$3,292,114 7,772.77% 26
2016 Q1 254,087 $19,235,000 -$2,410,742 7,575.24% 24
2015 Q4 286,124 $21,949,000 -$1,121,893 7,679.05% 23
2015 Q3 298,108 $23,105,000 -$15,590,640 7,678.45% 22
2015 Q2 427,892 $37,310,160 +$377,347 8,718.92% 19
2015 Q1 465,567 $40,669,208 +$11,442,560 8,735.42% 20
2014 Q4 336,159 $28,363,171 +$2,876,662 8,437.55% 24
2014 Q3 220,409 $18,184,768 +$1,209,761 8,254.81% 25
2014 Q2 258,652 $22,449,073 -$10,356,357 8,678.71% 20
2014 Q1 377,833 $31,780,221 -$727,921 8,406.52% 19