SPDR BLOOMBERG 1 3 MNTH T BLL ETF - COM (BIL)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
2.3K
Holdings value Q2 2024
$211K
Value change Q2 2024
+$35.6K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
1
Number of buys Q2 2024
1
Number of sells Q2 2024
-1
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 2.3K $211K +$35.6K $91.75 1
2024 Q1 30.1K $2.76M -$346K $91.80 2
2023 Q4 33.8K $3.09M +$3.09M $91.36 2
2023 Q2 0 $0 -$6.05M 0
2023 Q1 65.9K $6.05M +$1.22M $91.82 1
2022 Q4 52.6K $4.81M -$783K $91.47 1
2022 Q3 61.2K $5.6M -$5.79M $91.60 1
2022 Q2 124K $11.4M +$6.54M $91.49 2
2022 Q1 759K $69.4M +$131K $91.46 3
2021 Q4 757K $69.3M -$487K $91.44 2
2021 Q3 763K $69.8M -$2.22M $91.46 2
2021 Q2 787K $72M +$67M $91.47 2
2021 Q1 55.2K $5.05M $0 $91.49 1
2020 Q4 64.5K $5.9M -$332K $91.52 1
2020 Q3 68.1K $6.23M -$550K $93.38 2
2020 Q2 74.1K $6.78M -$445K $87.43 2
2020 Q1 79K $7.24M +$2.71M $91.63 1
2019 Q4 49.4K $4.52M +$129K $91.42 2
2019 Q3 48K $4.4M +$10.3K $91.63 2
2019 Q2 47.9K $4.39M -$841K $91.60 2
2019 Q1 57.1K $5.23M -$10.2M $91.65 4
2018 Q4 169K $15.5M +$14.6M $91.47 6
2018 Q3 9.98K $913K +$264K $91.52 2
2018 Q2 7.09K $649K -$37.1M $91.55 1
2018 Q1 412K $37.5M -$4M $91.29 3
2017 Q4 456K $41.6M -$843M $91.40 5
2017 Q3 18.6M $853M -$113M $45.75 80
2017 Q2 21.1M $966M -$177M $45.74 84
2017 Q1 25M $1.14B +$138M $45.71 90
2016 Q4 22M $1B -$67.1M $45.70 77
2016 Q3 22.8M $1.04B -$276M $45.73 72
2016 Q2 28.8M $1.32B -$754M $45.70 64
2016 Q1 45.3M $2.07B -$39.7M $45.69 72
2015 Q4 46.2M $2.11B -$600M $45.68 66
2015 Q3 59M $2.7B +$1.9B $45.69 63
2015 Q2 18.5M $846M -$174M $45.71 59
2015 Q1 22.5M $1.03B +$219M $45.73 57
2014 Q4 18.1M $826M +$269M $45.74 64
2014 Q3 11.6M $531M -$49.1M $45.76 58
2014 Q2 12.7M $580M -$52M $45.76 59
2014 Q1 13.8M $632M +$33.6M $45.77 64