POWERSHARES ETF TR II - EM MRK LOW VOL (EELV) Institutional Ownership

CUSIP: 73937B662

13F Institutional Holders and Ownership History from Q1 2014 to Q2 2020

Type / Class
Equity / EM MRK LOW VOL
Symbol
EELV
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Investment Quick Answers

What is CUSIP 73937B662?
CUSIP 73937B662 identifies EELV - POWERSHARES ETF TR II - EM MRK LOW VOL in SEC 13F datasets.

Where can I see the latest institutional holders?
Use the ownership history tables below to review the newest available institutional filing periods.

Institutional Holders of POWERSHARES ETF TR II - EM MRK LOW VOL (EELV) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2020 Q2 0 $0 -$2,208,000 0
2020 Q1 119,636 $2,208,000 -$64,977,273 $18.16 2
2019 Q4 3,623,302 $86,957,000 +$4,422,161 $23.81 2
2019 Q3 3,439,053 $79,099,000 +$4,319,734 $23.16 2
2019 Q2 3,251,219 $77,715,000 +$16,168,071 $23.34 2
2019 Q1 2,575,019 $62,516,000 +$5,717,566 $24.25 2
2018 Q4 2,339,508 $55,581,000 -$7,571,359 $23.56 2
2018 Q3 2,658,093 $60,465,000 +$8,650,569 $23.14 2
2018 Q2 2,275,665 $56,004,000 -$105,727,086 $24.35 4
2018 Q1 6,277,449 $166,088,000 +$9,627,686 $26.36 51
2017 Q4 5,991,306 $154,301,000 -$21,055,843 $25.33 54
2017 Q3 6,336,750 $154,971,000 +$9,419,361 $24.45 40
2017 Q2 5,874,759 $140,583,548 +$276,938 $23.96 39
2017 Q1 5,868,722 $135,034,000 -$63,015,621 $23.00 38
2016 Q4 8,752,473 $182,951,000 -$3,887,451 $20.90 43
2016 Q3 8,695,398 $195,683,940 +$70,510,438 $22.51 41
2016 Q2 5,558,854 $123,104,287 +$34,166,371 $22.14 37
2016 Q1 4,014,577 $90,408,013 -$2,784,644 $22.55 33
2015 Q4 4,142,023 $84,032,914 -$23,665,445 $20.29 36
2015 Q3 6,622,102 $139,067,345 -$61,651 $20.99 37
2015 Q2 6,625,384 $165,367,166 +$13,285,020 $24.96 35
2015 Q1 6,092,803 $156,456,403 +$7,224,112 $25.68 29
2014 Q4 5,812,281 $148,622,227 -$5,413,951 $25.57 30
2014 Q3 5,714,206 $155,319,818 +$5,727,288 $27.19 30
2014 Q2 5,501,013 $154,852,212 -$5,658,223 $28.15 28
2014 Q1 5,705,394 $152,224,859 -$1,857,760 $26.68 24