SPINNAKER ETF SERIES - UVA UNCONSTRAIND (FFIU) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2017 to Q3 2025

Type / Class
Equity / UVA UNCONSTRAIND
Symbol
FFIU
Price per share
$22.39
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
2,257,616
Total reported value
$50,548,428
% of total 13F portfolios
0%
Share change
+76,216
Value change
+$1,715,471
Number of holders
6
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 6 institutional investors reported holding 2,257,616 shares of SPINNAKER ETF SERIES - UVA UNCONSTRAIND (FFIU).

Institutional Holders of SPINNAKER ETF SERIES - UVA UNCONSTRAIND (FFIU) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 2,257,616 $50,548,428 +$1,715,471 $22.39 6
2025 Q2 2,181,400 $47,489,106 +$5,475,569 $21.77 7
2025 Q1 1,928,947 $42,413,139 +$455,254 $21.99 6
2024 Q4 1,917,547 $40,862,922 -$586,152 $21.31 7
2024 Q3 1,945,053 $43,977,645 +$2,429,390 $22.61 3
2024 Q2 1,837,616 $39,314,566 +$735,116 $21.61 4
2024 Q1 1,802,227 $38,932,509 -$273,465 $21.86 6
2023 Q4 1,814,529 $40,140,663 +$881,952 $22.12 6
2023 Q3 1,776,338 $36,996,769 +$18,052,522 $20.82 7
2023 Q2 907,413 $19,686,325 +$17,693,965 $21.70 8
2023 Q1 55,999 $1,235,013 -$2,458,514 $22.05 5
2022 Q4 167,504 $3,583,716 +$2,716,561 $21.40 5
2022 Q3 40,495 $858,000 +$33,590 $21.16 5
2022 Q2 38,886 $868,000 -$1,340,275 $22.45 6
2022 Q1 94,194 $2,283,000 -$696,809 $24.23 7
2021 Q4 122,949 $3,198,000 +$100,803 $26.02 7
2021 Q3 119,163 $3,144,000 -$457,944 $26.38 7
2021 Q2 136,528 $3,621,000 +$746,225 $26.51 6
2021 Q1 108,422 $2,805,000 +$237,174 $25.87 6
2020 Q4 99,252 $2,663,000 +$1,881,391 $26.83 5
2020 Q3 29,314 $775,000 +$125,999 $26.46 5
2020 Q2 24,673 $648,000 -$148,961 $26.26 3
2020 Q1 30,344 $765,000 -$1,273,537 $25.21 3
2019 Q4 80,264 $2,051,000 +$1,663,001 $25.54 5
2019 Q3 15,203 $388,000 -$798,451 $25.54 3
2019 Q2 46,793 $1,183,000 -$68,793 $25.30 4
2019 Q1 49,890 $1,238,000 -$997,479 $24.82 3
2018 Q4 90,151 $2,166,000 +$1,062,435 $24.03 3
2018 Q3 45,926 $1,122,000 -$1,393,538 $24.48 3
2018 Q2 103,438 $2,513,000 +$1,412,842 $24.31 4
2018 Q1 45,306 $1,107,000 +$475,271 $24.44 3
2017 Q4 25,849 $642,000 +$642,001 $24.84 1