DIREXION SHS ETF TR - ZACKS MLP HG INC (ZMLP) Institutional Ownership

CUSIP: 25459Y298

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2020

Type / Class
Equity / ZACKS MLP HG INC
Symbol
ZMLP
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Investment Quick Answers

What is CUSIP 25459Y298?
CUSIP 25459Y298 identifies ZMLP - DIREXION SHS ETF TR - ZACKS MLP HG INC in SEC 13F datasets.

Where can I see the latest institutional holders?
Use the ownership history tables below to review the newest available institutional filing periods.

Institutional Holders of DIREXION SHS ETF TR - ZACKS MLP HG INC (ZMLP) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2020 Q3 0 $0 -$506,000 0
2020 Q2 9,371 $506,000 -$12,707,955 $54.00 1
2020 Q1 2,077,279 $10,114,000 +$3,393,830 $4.88 18
2019 Q4 1,214,544 $14,564,000 +$2,256,470 $11.98 15
2019 Q3 1,022,468 $12,813,000 -$680,589 $12.55 19
2019 Q2 1,062,535 $14,344,000 +$496,340 $13.50 21
2019 Q1 1,025,770 $13,953,000 +$622,870 $13.60 17
2018 Q4 987,786 $11,702,000 -$1,759,116 $11.85 19
2018 Q3 1,131,625 $17,350,000 +$953,704 $15.38 19
2018 Q2 1,066,296 $15,843,000 +$646,134 $14.86 16
2018 Q1 1,024,748 $14,351,000 +$1,984,602 $13.96 13
2017 Q4 879,518 $14,082,000 -$3,456,853 $16.00 11
2017 Q3 1,091,346 $18,108,000 -$1,652,903 $16.59 14
2017 Q2 1,189,886 $20,366,000 +$1,494,467 $17.12 17
2017 Q1 1,100,211 $20,667,000 +$2,312,025 $18.80 14
2016 Q4 977,216 $18,455,000 -$726,012 $18.87 14
2016 Q3 1,015,871 $19,103,000 +$3,916,104 $18.83 18
2016 Q2 807,274 $15,220,000 +$518,327 $18.86 15
2016 Q1 787,718 $12,319,000 +$5,154,410 $15.62 17
2015 Q4 462,359 $8,042,000 -$16,963,511 $17.38 16
2015 Q3 1,417,410 $30,498,000 +$1,170,343 $21.43 13
2015 Q2 1,450,606 $40,862,638 +$4,010,419 $28.19 11
2015 Q1 1,308,459 $41,634,364 +$25,853,010 $31.82 10
2014 Q4 494,923 $16,392,624 -$3,879,282 $33.12 11
2014 Q3 608,710 $25,441,274 +$12,989,134 $41.82 9
2014 Q2 297,889 $12,678,512 -$350,885 $42.56 8
2014 Q1 317,816 $12,696,990 +$12,696,990 $39.95 9