GLOBAL X FTSE GREECE 20 ETF - COMMON (GREK) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / COMMON
Symbol
GREK
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
0
Total reported value
$0
Share change
-9,970
Value change
-$578,659
Number of holders
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 0 institutional investors reported holding 0 shares of GLOBAL X FTSE GREECE 20 ETF - COMMON (GREK).

Institutional Holders of GLOBAL X FTSE GREECE 20 ETF - COMMON (GREK) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 0 $0 -$578,659 0
2025 Q2 9,970 $578,659 +$192,693 $58.04 1
2025 Q1 6,650 $312,351 +$312,351 $46.97 1
2020 Q4 0 $0 -$211,735 0
2020 Q3 10,600 $211,735 $19.98 1
2020 Q2 10,600 $209,456 -$35,367,745 $19.76 1
2020 Q1 6,174,156 $35,129,775 -$82,996,662 $5.69 39
2019 Q4 14,641,518 $148,561,823 -$18,817,044 $10.13 64
2019 Q3 16,822,235 $156,966,081 -$10,120,567 $9.33 62
2019 Q2 17,843,246 $170,578,634 +$25,156,761 $9.56 64
2019 Q1 15,301,447 $123,081,911 -$6,005,051 $8.04 57
2018 Q4 15,543,699 $110,500,376 -$1,320,238 $6.90 56
2018 Q3 16,071,524 $133,212,450 -$12,365,049 $8.29 56
2018 Q2 17,478,879 $160,020,440 +$3,735,972 $9.13 57
2018 Q1 16,971,542 $164,619,410 +$25,195,046 $9.70 71
2017 Q4 14,182,754 $146,181,967 +$6,604,881 $10.28 65
2017 Q3 13,143,311 $124,330,753 -$12,013,144 $9.46 63
2017 Q2 14,351,188 $145,026,541 +$39,830,979 $10.11 73
2017 Q1 10,732,475 $85,425,658 +$5,449,288 $7.96 64
2016 Q4 10,626,520 $82,788,487 +$9,812,590 $7.79 62
2016 Q3 8,689,171 $62,386,519 +$4,945,988 $7.18 49
2016 Q2 7,996,512 $57,802,690 -$8,180,535 $7.23 50
2016 Q1 9,077,507 $68,319,650 +$10,246,079 $7.53 48
2015 Q4 7,780,958 $61,904,000 +$16,148,173 $7.96 51
2015 Q3 5,017,241 $48,285,150 -$20,383,081 $9.61 54
2015 Q2 5,965,034 $60,190,024 -$5,559,531 $10.06 48
2015 Q1 6,037,774 $66,529,408 +$48,676,300 $11.02 46
2014 Q4 1,588,761 $21,293,350 -$14,072,554 $13.40 28
2014 Q3 2,223,618 $41,339,366 -$24,613,468 $18.59 34
2014 Q2 3,510,184 $79,012,065 -$5,206,603 $22.50 42
2014 Q1 3,670,767 $90,195,550 +$75,700,030 $24.57 36