GLOBAL X FDS - AUTONMOUS EV ETF (DRIV)

Historical Holders from Q1 2016 to Q3 2025

Symbol
DRIV
Type / Class
Equity / AUTONMOUS EV ETF
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
2,465,808
Holdings value
$69,699,389
% of all portfolios
0%
Number of holders
131
Number of buys
56
Number of sells
-40
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of GLOBAL X FDS - AUTONMOUS EV ETF (DRIV)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 2,465,808 $69,699,389 -$2,220,749 $28.28 131
2025 Q2 2,573,464 $59,976,654 +$2,467,441 $23.3 123
2025 Q1 2,487,244 $52,578,578 -$25,561,897 $21.14 120
2024 Q4 3,755,411 $86,320,559 -$8,907,416 $22.96 136
2024 Q3 3,961,197 $93,110,509 -$18,450,573 $23.48 136
2024 Q2 4,761,351 $111,876,262 -$32,547,375 $23.49 158
2024 Q1 6,139,362 $151,662,205 -$19,073,110 $24.7 164
2023 Q4 6,927,388 $170,888,961 -$23,923,014 $24.67 186
2023 Q3 7,876,484 $185,065,026 -$10,828,379 $23.49 181
2023 Q2 8,285,158 $215,730,292 -$18,256,810 $26.04 201
2023 Q1 9,014,628 $214,706,923 -$9,260,923 $23.84 190
2022 Q4 9,392,803 $186,676,893 -$8,903,812 $19.87 179
2022 Q3 9,773,553 $196,759,640 -$12,745,535 $20.12 178
2022 Q2 10,912,232 $234,464,404 -$35,929,424 $21.47 186
2022 Q1 12,385,740 $341,368,530 +$45,431,084 $27.56 210
2021 Q4 10,754,400 $328,311,684 +$48,984,739 $30.53 226
2021 Q3 9,219,154 $252,815,465 +$90,040,461 $27.42 173
2021 Q2 5,610,190 $158,840,965 +$17,349,068 $28.31 161
2021 Q1 4,930,484 $131,023,020 +$108,753,593 $26.54 142
2020 Q4 838,590 $20,134,130 +$10,283,432 $23.97 58
2020 Q3 382,328 $6,475,049 +$3,259,673 $16.94 23
2020 Q2 190,919 $2,780,000 -$595,556 $14.55 15
2020 Q1 251,787 $2,797,000 +$1,375,111 $11.11 13
2019 Q4 127,249 $1,880,000 +$1,685,701 $14.73 7
2019 Q3 13,264 $175,000 -$7,105,771 $13.24 5
2019 Q2 546,863 $7,296,000 -$1,330,914 $13.34 7
2019 Q1 648,063 $8,572,000 -$727,479 $13.23 10
2018 Q4 708,775 $8,265,000 -$1,373,033 $11.66 7
2018 Q3 825,537 $12,162,000 -$18,400,095 $14.68 6
2018 Q2 2,073,762 $30,154,000 +$30,154,000 $14.42 5
2016 Q2 0 $0 -$15,000 0
2016 Q1 1,150 $15,000 $13.04 1