DIREXION SHS ETF TR - DLY CNMSR BULL (WANT)

Historical Holders from Q1 2019 to Q3 2025

Type / Class
Equity / DLY CNMSR BULL
Symbol
WANT
Price per share
$53.30
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
130,399
Total reported value
$6,949,693
% of total 13F portfolios
0%
Share change
+77,606
Value change
+$4,199,736
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
11
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, DIREXION SHS ETF TR - DLY CNMSR BULL (WANT) has 11 institutional shareholders filing 13F forms. They hold 130,399 shares. .

Institutional Holders of DIREXION SHS ETF TR - DLY CNMSR BULL (WANT) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 130,399 $6,949,693 +$4,199,736 5,330% 11
2025 Q2 53,543 $2,218,372 -$395,727 4,145% 11
2025 Q1 64,623 $2,249,845 -$2,435,115 3,482% 11
2024 Q4 112,240 $6,104,436 -$290,252 5,439% 12
2024 Q3 120,396 $4,939,040 +$1,780,319 4,102% 10
2024 Q2 77,072 $2,541,915 -$170,757 3,298% 10
2024 Q1 82,631 $2,934,225 +$1,383,831 3,551% 10
2023 Q4 43,962 $1,501,833 -$360,982 3,418% 7
2023 Q3 54,635 $1,439,002 -$2,194,737 2,635% 7
2023 Q2 120,744 $3,950,672 +$1,794,370 3,255% 8
2023 Q1 71,251 $1,658,033 -$821,505 2,328% 6
2022 Q4 107,847 $1,728,087 +$647,096 1,603% 8
2022 Q3 57,535 $1,355,000 -$1,824,869 2,354.59% 7
2022 Q2 135,660 $3,102,000 +$2,388,706 2,287.05% 11
2022 Q1 31,174 $2,020,000 -$3,003,854 6,481.45% 6
2021 Q4 75,612 $7,143,000 +$2,082,219 9,444.01% 8
2021 Q3 61,282 $4,057,000 -$524,712 6,624.72% 7
2021 Q2 69,185 $4,576,000 -$1,177,190 6,615.39% 7
2021 Q1 86,966 $4,878,000 +$2,160,778 5,618.21% 7
2020 Q4 48,461 $2,476,000 +$701,355 5,106.93% 7
2020 Q3 34,725 $1,386,000 -$213,038 4,000% 3
2020 Q2 50,149 $1,345,000 -$348,747 2,681.94% 3
2020 Q1 91,680 $1,207,000 +$469,000 1,316.5% 2
2019 Q4 20,905 $738,000 -$1,196,000 3,530.26% 1
2019 Q3 60,608 $1,934,000 +$1,001,341 3,190.93% 2
2019 Q2 29,226 $924,000 +$485,478 3,162.71% 2
2019 Q1 13,876 $390,000 +$390,000 2,810.61% 1