VANECK ETF TRUST - SEMICONDUCTR ETF (SMH)

Historical Holders from Q1 2016 to Q1 2025

Symbol
SMH
CUSIP
92189F676
Type / Class
Equity / SEMICONDUCTR ETF
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
48.7M
Holdings value
$11.8B
% of all portfolios
0.045%
Grand Portfolio weight change
+0.001%
Number of holders
958
Number of buys
477
Number of sells
-341
Average Value change %
+0%
Average buys %
+0.009%
Average sells %
-0.008%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of VANECK ETF TRUST - SEMICONDUCTR ETF (SMH)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 2.16M $456M -$12.3M $211.47 188
2024 Q4 48.7M $11.8B +$330M $242.17 958
2024 Q3 47.2M $11.6B -$213M $245.45 889
2024 Q2 47.5M $12.4B -$391M $260.70 873
2024 Q1 49.7M $11.2B +$634M $224.99 782
2023 Q4 45.6M $7.98B +$64.8M $174.87 647
2023 Q3 44.9M $6.51B +$1.05B $144.98 544
2023 Q2 38.2M $5.81B +$2.1B $152.25 510
2023 Q1 23.2M $6.12B +$234M $263.19 466
2022 Q4 22.3M $4.53B -$229M $202.94 418
2022 Q3 23.4M $4.33B +$211M $185.12 378
2022 Q2 21.8M $4.45B -$183M $203.73 406
2022 Q1 23M $6.2B +$2.56B $269.79 417
2021 Q4 13.6M $4.19B -$1.38B $308.79 439
2021 Q3 18M $4.6B +$457M $256.27 377
2021 Q2 16.3M $4.28B -$127M $262.24 367
2021 Q1 15.8M $3.85B +$788M $243.55 329
2020 Q4 13.9M $3.04B -$369M $218.42 287
2020 Q3 16M $2.78B -$11.5M $174.20 225
2020 Q2 16.8M $2.56B -$181M $152.80 202
2020 Q1 18.4M $2.16B -$243M $117.14 183
2019 Q4 16.7M $2.36B -$113M $141.41 173
2019 Q3 18.1M $2.16B -$657M $119.13 138
2019 Q2 22.8M $2.51B +$44.9M $110.18 134
2019 Q1 23M $2.44B -$204M $106.33 120
2018 Q4 24.4M $2.13B -$613M $87.28 127
2018 Q3 32.1M $3.42B +$122M $106.45 116
2018 Q2 32M $3.29B +$744M $102.67 128
2018 Q1 24.3M $2.53B +$534M $104.28 130
2017 Q4 19.2M $1.88B -$589M $97.81 116
2017 Q3 25.2M $2.35B +$372M $93.32 104
2017 Q2 21.3M $1.74B +$189M $81.86 95
2017 Q1 18.8M $1.5B +$208M $79.71 87
2016 Q4 16.4M $1.18B -$475M $71.64 84
2016 Q3 23.1M $1.6B +$318M $69.47 64
2016 Q2 19.1M $1.09B +$1.04B $57.01 48
2016 Q1 175K $9.82M +$9.41M $80.67 2