J P MORGAN EXCHANGE TRADED F - BETABUILDERS DEV (BBAX) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2019 to Q4 2025

Type / Class
Equity / BETABUILDERS DEV
Symbol
BBAX
Price per share
$56.30
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
92,343,263
Total reported value
$5,202,620,309
% of total 13F portfolios
0%
Share change
+1,574,332
Value change
+$89,070,818
Number of holders
111
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 111 institutional investors reported holding 92,343,263 shares of J P MORGAN EXCHANGE TRADED F - BETABUILDERS DEV (BBAX).

Institutional Holders of J P MORGAN EXCHANGE TRADED F - BETABUILDERS DEV (BBAX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 11,617 $658,206 +$246,714 $56.30 19
2025 Q3 92,343,263 $5,202,620,309 +$89,070,818 $56.34 111
2025 Q2 90,812,960 $4,949,309,672 -$48,136,366 $54.50 114
2025 Q1 91,869,104 $4,469,591,650 +$217,769,888 $48.65 95
2024 Q4 87,407,111 $4,261,103,467 -$48,291,564 $48.75 100
2024 Q3 88,393,522 $4,775,881,662 -$151,863,966 $54.03 99
2024 Q2 91,208,325 $4,412,665,366 +$157,563,079 $48.38 89
2024 Q1 87,951,579 $4,235,746,960 +$266,754,127 $48.16 93
2023 Q4 82,403,100 $4,079,776,573 -$23,370,479 $49.51 100
2023 Q3 82,878,972 $3,732,039,931 -$299,752,909 $45.03 84
2023 Q2 89,501,202 $4,280,844,007 +$206,665,630 $47.83 78
2023 Q1 85,175,420 $4,186,391,620 +$398,971,981 $49.15 90
2022 Q4 77,057,355 $3,771,199,717 +$90,335,378 $48.94 81
2022 Q3 75,161,801 $3,180,497,569 -$116,103,685 $42.32 63
2022 Q2 77,874,045 $3,713,886,157 -$8,122,228 $47.69 72
2022 Q1 78,023,638 $4,340,457,993 +$240,218,990 $55.63 60
2021 Q4 73,707,274 $3,988,301,668 +$277,522,605 $54.11 73
2021 Q3 68,560,323 $3,714,596,461 +$162,651,469 $54.18 63
2021 Q2 65,588,704 $3,833,452,821 +$3,831,615,821 $58.46 54
2021 Q1 31,681 $1,837,000 +$14,000 $43.13 2
2020 Q4 31,177 $1,823,000 $58.47 1
2020 Q3 31,177 $1,823,000 $58.47 1
2020 Q2 31,177 $1,823,000 $58.47 1
2020 Q1 31,177 $1,823,000 $58.47 1
2019 Q4 31,177 $1,823,000 $58.47 1
2019 Q3 31,177 $1,823,000 $58.47 1
2019 Q2 31,177 $1,823,000 $58.47 1
2019 Q1 31,177 $1,823,000 $58.47 1