United States Commodity Index Funds Trust - COMM IDX FND (USCI)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / COMM IDX FND
Symbol
USCI on NYSE
Price per share
$79.16
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
1,318,469
Total reported value
$102,608,807
% of total 13F portfolios
0%
Share change
+177,410
Value change
+$13,831,588
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
66
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, United States Commodity Index Funds Trust - COMM IDX FND (USCI) has 66 institutional shareholders filing 13F forms. They hold 1,318,469 shares. .

Institutional Holders of United States Commodity Index Funds Trust - COMM IDX FND (USCI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 12,738 $1,008,340 -$37,079 7,916% 1
2025 Q3 1,318,469 $102,608,807 +$13,831,588 7,789.5% 66
2025 Q2 1,145,090 $83,924,258 -$2,891,604 7,328.71% 55
2025 Q1 1,184,992 $85,439,947 +$21,509,701 7,212.33% 52
2024 Q4 892,561 $58,883,454 -$4,163,731 6,598% 50
2024 Q3 664,599 $41,482,992 -$4,713,253 6,240.5% 50
2024 Q2 727,593 $45,215,702 +$15,812,974 6,223% 50
2024 Q1 489,882 $29,852,299 -$11,736,799 6,094.8% 43
2023 Q4 699,202 $39,400,238 -$7,584,909 5,628% 46
2023 Q3 814,403 $48,244,950 +$12,687,422 5,916.36% 48
2023 Q2 606,788 $32,570,053 -$17,990,983 5,361.01% 41
2023 Q1 942,246 $51,126,440 -$23,526,771 5,425.96% 47
2022 Q4 1,379,622 $77,640,965 -$18,142,008 5,628% 48
2022 Q3 1,714,327 $89,553,117 +$353,295 5,135.41% 48
2022 Q2 1,694,468 $92,869,142 +$7,885,024 5,481.01% 60
2022 Q1 1,555,170 $85,810,020 +$29,102,694 5,517.62% 60
2021 Q4 1,027,504 $44,712,575 +$2,681,540 4,347.01% 50
2021 Q3 955,609 $39,072,247 +$354,432 4,088.87% 47
2021 Q2 947,872 $38,280,918 +$4,611,475 4,038.68% 46
2021 Q1 835,882 $29,800,761 +$9,498,577 3,564.75% 45
2020 Q4 569,448 $18,451,534 -$9,983,961 3,267% 27
2020 Q3 895,890 $26,594,940 -$13,297,865 2,970% 27
2020 Q2 1,363,200 $36,227,316 +$7,745,191 2,657.91% 27
2020 Q1 901,820 $23,310,220 -$4,394,550 2,590% 35
2019 Q4 1,275,394 $47,053,935 -$27,362,677 3,688.45% 51
2019 Q3 1,944,983 $69,696,476 -$11,880,742 3,583.35% 55
2019 Q2 2,613,281 $96,611,194 -$15,075,013 3,696.88% 62
2019 Q1 3,015,158 $116,778,748 -$13,869,956 3,873.01% 64
2018 Q4 3,355,798 $125,934,856 -$24,726,425 3,752.77% 61
2018 Q3 3,868,063 $163,735,689 -$26,873,158 4,246.84% 65
2018 Q2 4,565,836 $199,295,068 +$8,038,274 4,371.87% 70
2018 Q1 4,380,587 $187,444,445 +$18,491,129 4,278.01% 62
2017 Q4 3,864,861 $164,482,248 -$5,398,203 4,253.03% 50
2017 Q3 3,863,820 $154,700,783 -$21,490,259 4,003.68% 51
2017 Q2 4,404,387 $170,200,700 -$29,432,613 3,848.85% 49
2017 Q1 5,152,428 $201,759,886 -$74,225,430 3,915.97% 48
2016 Q4 7,024,467 $280,943,600 -$9,608,410 4,000% 47
2016 Q3 7,063,479 $292,847,894 +$15,647,927 4,146.01% 48
2016 Q2 6,680,309 $288,494,383 +$47,300,967 4,318.99% 47
2016 Q1 5,601,339 $226,518,476 -$14,541,251 4,041.87% 45
2015 Q4 5,948,931 $240,742,000 +$20,194,212 4,047.01% 46
2015 Q3 5,476,802 $229,042,140 +$3,223,238 4,181.88% 43
2015 Q2 5,369,866 $253,291,538 -$5,731,479 4,716.92% 39
2015 Q1 5,495,730 $246,877,892 -$171,435,065 4,492.12% 40
2014 Q4 9,037,666 $436,383,604 -$53,874,103 4,828.84% 51
2014 Q3 9,681,085 $533,348,282 +$231,784,315 5,509.14% 45
2014 Q2 5,461,545 $331,075,302 +$33,965,063 6,061.65% 45
2014 Q1 4,903,920 $287,153,892 +$5,645,884 5,861.03% 42