VANECK ETF TRUST - JP MRGAN EM LOC (EMLC)

Historical Holders from Q1 2016 to Q4 2025

Type / Class
Equity / JP MRGAN EM LOC
Symbol
EMLC
Price per share
$25.82
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
99,873,255
Total reported value
$2,547,376,249
% of total 13F portfolios
0.01%
Share change
+10,682,525
Value change
+$390,118,848
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
257
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, VANECK ETF TRUST - JP MRGAN EM LOC (EMLC) has 257 institutional shareholders filing 13F forms. They hold 99,873,255 shares. .

Institutional Holders of VANECK ETF TRUST - JP MRGAN EM LOC (EMLC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 2,277,224 $58,816,830 +$22,671,047 2,582% 8
2025 Q3 99,873,255 $2,547,376,249 +$390,118,848 2,551% 257
2025 Q2 87,540,611 $2,100,321,200 +$186,952,488 2,535% 252
2025 Q1 77,924,041 $1,859,140,494 +$167,408,830 2,386% 241
2024 Q4 71,156,627 $1,645,316,674 -$163,459,271 2,311% 230
2024 Q3 77,320,293 $1,957,047,881 -$118,153,799 2,540% 234
2024 Q2 81,037,646 $1,926,827,584 -$99,423,639 2,378% 225
2024 Q1 85,261,725 $2,089,761,948 -$95,664,524 2,451% 247
2023 Q4 132,389 $3,356,058 -$1,800 2,535% 2
2023 Q3 92,075,229 $2,197,348,054 -$348,141,468 2,387% 239
2023 Q2 104,305,582 $2,665,792,941 +$36,252,282 2,556% 235
2023 Q1 102,656,402 $2,590,937,620 +$525,094,011 2,525% 223
2022 Q4 82,203,552 $1,992,095,154 +$37,149,478 2,423% 216
2022 Q3 76,311,712 $1,740,398,220 -$366,811,424 2,280.01% 172
2022 Q2 94,296,951 $2,308,144,199 +$87,688,395 2,447.98% 201
2022 Q1 89,204,895 $2,407,313,100 +$320,285,626 2,698.98% 197
2021 Q4 82,873,512 $2,369,836,365 -$111,645,365 2,859.99% 202
2021 Q3 85,265,923 $2,559,775,936 +$221,844,480 2,997% 201
2021 Q2 77,244,220 $2,430,323,002 +$215,384,267 3,138% 207
2021 Q1 69,773,848 $2,176,066,783 -$10,126,939 3,068% 210
2020 Q4 68,921,760 $2,293,097,234 -$117,041,652 3,326.97% 209
2020 Q3 72,069,109 $2,222,590,925 -$110,122,247 3,084% 187
2020 Q2 75,536,237 $2,322,322,403 -$244,984,631 3,074% 178
2020 Q1 81,630,587 $2,324,606,073 -$729,223,073 2,847% 185
2019 Q4 103,503,817 $3,520,224,972 -$129,584,356 3,401% 218
2019 Q3 112,055,845 $3,698,111,087 -$49,299,742 3,300% 211
2019 Q2 112,293,930 $3,901,807,436 +$203,624,662 3,469.96% 213
2019 Q1 105,679,311 $3,540,059,970 +$318,957,599 3,336% 205
2018 Q4 98,056,115 $3,236,494,905 +$2,923,869,614 3,300% 183
2018 Q3 809,054 $13,317,000 +$12,994,000 1,646.07% 8
2016 Q1 1,598 $54,000 $0 3,379.22% 1