SSGA Active Trust - Exchange Traded Product (EMTL)

Historical Holders from Q2 2016 to Q3 2025

Symbol
EMTL
Type / Class
Equity / Exchange Traded Product
Shares outstanding
2,135,926
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
1,983,700
Holdings value
$87,083,349
% of all portfolios
0%
Number of holders
45
Number of buys
26
Number of sells
-14
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of SSGA Active Trust - Exchange Traded Product (EMTL)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FOUNDATIONS INVESTMENT ADVISORS, LLC 5.4% $4,979,447 115,340 FOUNDATIONS INVESTMENT ADVISORS, LLC 30 Jun 2025

Institutional Holders of SSGA Active Trust - Exchange Traded Product (EMTL)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 1,983,700 $87,083,349 +$11,593,374 $43.9 45
2025 Q2 1,697,259 $73,268,173 -$1,434,576 $43.17 40
2025 Q1 1,798,477 $77,440,391 +$6,494,971 $43.1 47
2024 Q4 1,693,621 $71,312,946 +$1,269,365 $42.1 47
2024 Q3 1,566,298 $68,055,469 -$58,217 $43.49 39
2024 Q2 1,522,731 $64,344,078 +$4,719,653 $42.26 40
2024 Q1 1,403,629 $59,200,731 -$2,377,704 $42.19 34
2023 Q4 1,459,990 $61,180,700 +$1,014,618 $41.94 35
2023 Q3 1,371,026 $54,999,340 +$4,587,516 $40.12 31
2023 Q2 1,254,912 $51,363,021 -$2,346,274 $40.93 28
2023 Q1 1,316,425 $53,862,189 +$15,557,369 $40.88 32
2022 Q4 929,452 $37,359,795 +$1,529,319 $40.2 30
2022 Q3 894,730 $34,403,000 -$6,438,373 $38.45 25
2022 Q2 1,077,306 $44,644,413 +$2,895,170 $41.29 29
2022 Q1 846,292 $38,761,456 -$13,819,419 $45.64 29
2021 Q4 1,133,134 $55,337,488 -$5,263,493 $48.84 35
2021 Q3 1,083,606 $54,496,296 +$2,735,101 $50.31 30
2021 Q2 1,028,961 $52,498,739 +$3,816,473 $51.04 30
2021 Q1 954,301 $47,954,045 +$1,874,490 $50.26 29
2020 Q4 922,677 $47,219,000 +$4,243,160 $51.19 28
2020 Q3 778,125 $38,836,000 -$17,209,174 $49.91 25
2020 Q2 1,121,971 $55,130,000 +$20,643,138 $49.12 26
2020 Q1 698,490 $31,759,051 +$583,085 $45.46 26
2019 Q4 700,952 $35,889,788 -$1,429,264 $51.2 24
2019 Q3 702,091 $34,967,261 -$1,721,216 $50.68 22
2019 Q2 765,416 $39,183,000 -$7,141,329 $51.19 25
2019 Q1 903,775 $44,916,550 +$5,966,402 $49.7 23
2018 Q4 629,092 $29,947,000 +$3,105,321 $47.6 20
2018 Q3 520,666 $25,323,155 -$2,124,547 $48.64 19
2018 Q2 564,900 $27,302,000 -$1,682,926 $48.33 19
2018 Q1 599,315 $29,634,000 +$4,197,483 $49.45 19
2017 Q4 514,426 $25,914,000 +$2,023,273 $50.38 13
2017 Q3 461,278 $23,612,000 +$16,928,250 $51.2 10
2017 Q2 130,674 $6,598,000 -$788,501 $50.49 6
2017 Q1 146,688 $7,279,000 +$2,417,462 $49.5 8
2016 Q4 98,938 $4,830,000 -$27,225,026 $48.86 7
2016 Q3 634,356 $33,387,000 -$628,912 $52.63 7
2016 Q2 646,320 $32,813,000 +$32,813,000 $50.77 5