GLOBAL X FDS - MILLENNIAL CONSU (MILN)

Historical Holders from Q1 2016 to Q3 2025

Symbol
MILN
CUSIP
37954Y764
Type / Class
Equity / MILLENNIAL CONSU
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
878K
Holdings value
$43.3M
% of all portfolios
0%
Grand Portfolio weight change
+0%
Number of holders
45
Number of buys
25
Number of sells
-15
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of GLOBAL X FDS - MILLENNIAL CONSU (MILN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 878K $43.3M +$2.56M $49.47 45
2025 Q2 827K $40.3M +$1.1M $48.80 46
2025 Q1 805K $34.7M +$26.3K $43.11 42
2024 Q4 805K $36.2M -$3.39M $44.96 41
2024 Q3 888K $37.2M -$4.97M $41.92 41
2024 Q2 1.01M $38.8M -$260K $38.49 44
2024 Q1 1.01M $39.3M +$2.56M $39.10 45
2023 Q4 952K $33.8M +$2.43M $35.45 42
2023 Q3 873K $26.5M +$196K $30.41 35
2023 Q2 863K $27.5M -$1.3M $31.86 33
2023 Q1 908K $27M -$1.09M $29.75 43
2022 Q4 944K $24.7M -$1.44M $26.10 43
2022 Q3 1.01M $25.8M +$515K $25.64 37
2022 Q2 987K $25.7M -$6.66M $26.00 39
2022 Q1 1.28M $46.8M -$12.3M $36.43 45
2021 Q4 1.58M $67.4M +$147K $42.58 55
2021 Q3 1.56M $67.3M +$11.7M $42.97 54
2021 Q2 1.31M $56.8M +$9.19M $43.29 44
2021 Q1 1.11M $44.5M +$7.01M $40.12 44
2020 Q4 928K $34.7M +$3.69M $37.41 32
2020 Q3 820K $25.6M +$11.5M $31.21 29
2020 Q2 457K $12.6M +$645K $27.61 27
2020 Q1 468K $9.37M +$1.61M $20.00 20
2019 Q4 387K $10M -$2.76M $25.90 22
2019 Q3 491K $12.2M +$5.81M $24.82 20
2019 Q2 243K $6.01M +$2.6M $24.73 17
2019 Q1 141K $3.35M -$2.49M $23.75 11
2018 Q4 263K $5.18M +$1.82M $19.67 12
2018 Q3 170K $4.04M +$617K $23.70 11
2018 Q2 144K $3.21M +$1.38M $22.25 7
2018 Q1 82.1K $1.64M +$369K $19.99 5
2017 Q4 63.6K $1.22M +$789K $19.24 3
2017 Q3 23.9K $432K +$390K $18.08 3
2017 Q2 2.32K $41K -$270K $17.66 1
2017 Q1 18.7K $309K -$534K $16.29 3
2016 Q4 52.9K $826K +$156K $15.63 5
2016 Q3 42.9K $685K +$154K $16.00 3
2016 Q2 33.2K $504K +$431K $15.19 1
2016 Q1 3.05K $73K $0 $23.93 1