SSGA Active Trust - Exchange Traded Product (STOT)

Historical Holders from Q2 2016 to Q3 2025

Symbol
STOT
Type / Class
Equity / Exchange Traded Product
Shares outstanding
6,046,755
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
3,754,833
Holdings value
$177,697,232
% of all portfolios
0.002%
Number of holders
66
Number of buys
29
Number of sells
-30
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of SSGA Active Trust - Exchange Traded Product (STOT)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FOUNDATIONS INVESTMENT ADVISORS, LLC 5.3% -28.6% $15,185,850 -$3,357,275 320,478 -18.1% FOUNDATIONS INVESTMENT ADVISORS, LLC 30 Sep 2025

Institutional Holders of SSGA Active Trust - Exchange Traded Product (STOT)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 3,754,833 $177,697,232 +$26,011,863 $47.38 66
2025 Q2 3,201,179 $151,567,676 +$30,437,324 $47.35 63
2025 Q1 2,491,120 $117,703,867 -$12,367,353 $47.25 58
2024 Q4 2,856,200 $133,888,054 -$45,722,885 $46.86 62
2024 Q3 3,744,184 $180,958,998 +$74,969,450 $47.47 63
2024 Q2 2,206,474 $103,379,717 -$21,845,813 $46.85 54
2024 Q1 2,685,201 $126,160,320 +$12,335,472 $46.99 54
2023 Q4 131,068 $6,139,243 +$34,568 $46.84 1
2023 Q3 1,563,711 $72,568,482 +$719,124 $46.41 42
2023 Q2 1,547,347 $71,899,243 -$3,792,433 $46.44 39
2023 Q1 1,610,750 $74,753,352 +$6,234,447 $46.44 43
2022 Q4 1,412,205 $65,080,516 +$674,713 $46.08 39
2022 Q3 1,401,660 $64,522,262 -$7,597,892 $46.02 42
2022 Q2 1,561,589 $72,810,699 +$7,234,915 $46.63 43
2022 Q1 1,404,882 $66,970,576 -$27,218,265 $47.69 45
2021 Q4 1,869,021 $91,671,559 -$23,015,162 $49.1 45
2021 Q3 2,064,750 $102,334,743 +$22,457,194 $49.57 36
2021 Q2 1,557,042 $77,474,746 +$12,537,009 $49.76 35
2021 Q1 1,436,837 $71,329,745 -$6,142,776 $49.64 37
2020 Q4 1,506,465 $75,065,724 +$1,191,347 $49.83 39
2020 Q3 1,383,335 $68,805,711 +$3,167,752 $49.75 34
2020 Q2 1,338,053 $66,350,744 -$7,290,015 $49.59 35
2020 Q1 1,458,819 $70,370,710 +$11,019,773 $48.22 38
2019 Q4 1,259,356 $62,305,742 +$7,389,424 $49.46 38
2019 Q3 1,064,321 $52,856,745 +$612,588 $49.67 28
2019 Q2 997,626 $49,567,745 -$1,900,800 $49.69 28
2019 Q1 1,047,807 $51,605,739 +$8,355,425 $49.24 27
2018 Q4 878,483 $42,730,776 -$8,335,980 $48.64 20
2018 Q3 957,135 $46,692,205 -$1,929,508 $48.79 21
2018 Q2 997,585 $48,674,268 +$25,838,280 $48.79 21
2018 Q1 467,973 $22,978,897 +$2,228,638 $49.1 19
2017 Q4 393,555 $19,440,000 +$345,959 $49.39 13
2017 Q3 386,319 $19,226,000 +$1,717,449 $49.77 15
2017 Q2 388,924 $19,270,000 +$3,874,990 $49.55 13
2017 Q1 310,638 $15,427,000 +$455,608 $49.67 8
2016 Q4 301,472 $14,930,000 -$33,881,643 $49.53 7
2016 Q3 966,130 $48,813,000 -$929,165 $50.52 3
2016 Q2 984,523 $49,640,000 +$49,639,981 $50.47 2