VANECK ETF TRUST - STEEL ETF (SLX)

Historical Holders from Q2 2016 to Q3 2025

Symbol
SLX
CUSIP
92189F205
Type / Class
Equity / STEEL ETF
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
354K
Holdings value
$23.5M
% of all portfolios
0%
Grand Portfolio weight change
0%
Number of holders
38
Number of buys
13
Number of sells
-18
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of VANECK ETF TRUST - STEEL ETF (SLX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 16.7K $1.21M +$372K $72.48 7
2025 Q2 354K $23.5M -$1.25M $66.16 38
2025 Q1 374K $23M -$5.63M $61.50 36
2024 Q4 470K $27.5M +$1.53M $58.46 44
2024 Q3 472K $33.1M -$8.08M $70.42 37
2024 Q2 589K $39.3M -$5.56M $66.62 46
2024 Q1 663K $48.1M -$5.6M $72.62 42
2023 Q4 735K $54.2M +$2.82M $73.76 51
2023 Q3 709K $46.5M +$2.2M $65.57 44
2023 Q2 672K $43M -$17.1M $63.96 48
2023 Q1 938K $59.8M +$15.1M $63.74 51
2022 Q4 712K $41.2M +$3.84M $57.84 45
2022 Q3 489K $23.4M -$5.57M $47.76 40
2022 Q2 777K $38.4M -$7.44M $49.47 40
2022 Q1 994K $66.6M +$2.92M $67.84 52
2021 Q4 857K $45.6M -$6.52M $53.19 41
2021 Q3 975K $53.8M -$27.6M $55.21 47
2021 Q2 1.45M $89.9M +$39.4M $61.96 56
2021 Q1 807K $44.9M +$16.2M $55.80 41
2020 Q4 515K $22.9M +$4.05M $44.63 25
2020 Q3 429K $13.2M +$775K $30.90 21
2020 Q2 396K $10.9M -$6.97M $27.57 21
2020 Q1 677K $14.8M +$1.07M $21.88 20
2019 Q4 541K $20.3M +$781K $37.71 34
2019 Q3 519K $17.6M +$1.15M $33.90 26
2019 Q2 480K $18.8M -$1.5M $39.12 27
2019 Q1 516K $20.6M +$725K $39.98 29
2018 Q4 499K $17.4M -$10.3M $34.83 34
2018 Q3 644K $29.5M -$3.9M $45.84 32
2018 Q2 861K $39M -$12M $45.28 39
2018 Q1 1.12M $51.4M -$15.1M $45.79 46
2017 Q4 1.39M $63.8M -$7.86M $45.84 31
2017 Q3 1.57M $66.4M +$5.77M $42.20 35
2017 Q2 1.49M $57.3M -$19.7M $38.51 39
2017 Q1 1.97M $79.6M -$15.9M $40.36 40
2016 Q4 2.33M $88.2M +$17.8M $37.79 43
2016 Q3 1.86M $57.7M +$24.5M $31.05 28
2016 Q2 1.08M $29.8M +$29.8M $27.61 29