DIREXION SHS ETF TR - AUSPCE CMD STG (COM)

Historical Holders from Q1 2017 to Q3 2025

Symbol
COM
Type / Class
Equity / AUSPCE CMD STG
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
3,495,067
Holdings value
$100,458,674
% of all portfolios
0%
Number of holders
60
Number of buys
23
Number of sells
-38
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of DIREXION SHS ETF TR - AUSPCE CMD STG (COM)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 3,495,067 $100,458,674 -$27,745,105 $28.73 60
2025 Q2 4,474,116 $123,788,909 -$23,184,106 $27.66 69
2025 Q1 5,303,420 $155,575,150 -$27,580,998 $29.34 67
2024 Q4 6,350,377 $179,906,596 -$4,472,554 $28.32 73
2024 Q3 6,163,305 $180,854,408 -$1,949,829 $28.74 67
2024 Q2 6,228,329 $180,111,212 +$15,582,131 $28.91 68
2024 Q1 5,684,742 $160,882,184 -$16,459,962 $28.3 64
2023 Q4 6,267,762 $174,314,854 -$6,844,968 $27.81 69
2023 Q3 6,484,239 $192,630,212 +$11,245,514 $29.69 62
2023 Q2 6,100,594 $179,689,033 +$18,181,015 $29.43 65
2023 Q1 5,478,665 $168,119,502 +$8,497,524 $30.67 55
2022 Q4 5,194,990 $152,877,016 -$23,358,567 $29.42 57
2022 Q3 5,912,521 $176,135,514 -$28,555,886 $29.81 56
2022 Q2 6,942,776 $214,715,936 +$12,633,253 $30.99 59
2022 Q1 6,216,877 $206,324,025 +$20,067,883 $33.19 49
2021 Q4 5,574,932 $162,689,006 +$14,007,942 $29.18 45
2021 Q3 4,665,347 $147,803,348 +$4,217,127 $31.68 34
2021 Q2 4,836,766 $146,320,543 +$60,591,110 $30.29 30
2021 Q1 2,832,519 $78,055,356 +$20,985,095 $27.56 15
2020 Q4 2,071,209 $52,214,000 +$7,847,382 $25.21 9
2020 Q3 1,761,972 $40,583,000 +$6,238,397 $23.03 7
2020 Q2 1,491,791 $31,976,000 -$2,000,912 $21.36 4
2020 Q1 1,741,354 $33,835,000 +$9,767,946 $20.79 6
2019 Q4 1,114,837 $26,397,000 -$12,251,817 $23.67 7
2019 Q3 1,632,667 $37,970,000 -$1,203,696 $23.24 9
2019 Q2 1,684,422 $39,408,000 -$591,471 $23.4 9
2019 Q1 1,709,784 $41,043,000 -$2,722,201 $24 7
2018 Q4 1,823,219 $43,721,000 -$5,231,593 $23.98 8
2018 Q3 2,029,975 $51,346,000 +$2,597,917 $25.16 7
2018 Q2 1,937,515 $48,399,000 +$16,950,709 $24.98 4
2018 Q1 1,258,971 $30,769,000 +$3,639,345 $24.33 3
2017 Q4 1,109,648 $27,245,000 +$20,010,000 $24.55 3
2017 Q3 303,044 $7,109,000 +$67,395 $23.46 2
2017 Q2 300,171 $7,234,000 -$116,427 $24.1 2
2017 Q1 305,000 $7,637,000 +$7,637,000 $25.04 2