| Rank | ETF | Weight % in ETF |
|---|---|---|
| 1 | PGJ | 0.03% |
| Rank | Holder | SharesFloat % | Change | Date reported |
|---|---|---|---|---|
| 1 | Acadian Asset Management LLC | 1.01M (1.26%) | 1.01M Increased by +100.00% | Sep 30, 25 |
| 2 | Point72 Asset Management, L.P. | 544.20K (0.68%) | 544.20K Increased by +100.00% | Dec 31, 25 |
| 3 | JPMorgan Chase & Co | 480.02K (0.60%) | 176.49K Increased by +36.77% | Sep 30, 25 |
| 4 | Renaissance Technologies Corp | 333.86K (0.42%) | -43.89K Decreased by -13.15% | Dec 31, 25 |
| 5 | S.A.C. Capital Advisors (Hong Kong) Ltd. | 218.48K (0.27%) | 218.48K Increased by +100.00% | Sep 30, 25 |
| 6 | Barclays PLC | 183.17K (0.23%) | 103.00K Increased by +56.23% | Sep 30, 25 |
| 7 | Two Sigma Investments LLC | 147.06K (0.18%) | -10.10K Decreased by -6.87% | Dec 31, 25 |
| 8 | Morgan Stanley - Brokerage Accounts | 140.71K (0.18%) | 102.45K Increased by +72.81% | Sep 30, 25 |
| 9 | Citadel Advisors Llc | 106.66K (0.13%) | 106.66K Increased by +100.00% | Dec 31, 25 |
| 10 | Oasis Management Co. Ltd | 100.00K (0.13%) | 0.00 Increased by 0.00% | Dec 31, 25 |
| 11 | Dimensional Fund Advisors, Inc. | 65.06K (0.08%) | 34.40K Increased by +52.88% | Dec 31, 25 |
| 12 | Quadrature Capital Limited | 63.83K (0.08%) | 26.24K Increased by +41.11% | Dec 31, 25 |
| 13 | UBS Group AG | 59.18K (0.07%) | -26.04K Decreased by -44.00% | Jun 30, 25 |
| 14 | Verdad Advisers, LP | 52.77K (0.07%) | 52.77K Increased by +100.00% | Dec 31, 25 |
| 15 | XTX Topco Ltd | 50.25K (0.06%) | 34.96K Increased by +69.58% | Sep 30, 25 |
| 16 | Mandatum Life Insurance Company Limited | 34.00K (0.04%) | 0.00 Increased by 0.00% | Dec 31, 25 |
| 17 | Amvescap Plc. | 31.93K (0.04%) | 31.93K Increased by +100.00% | Sep 30, 25 |
| 18 | Two Sigma Advisers, LLC | 27.60K (0.03%) | -22.90K Decreased by -82.97% | Dec 31, 25 |
| 19 | Jane Street Group LLC | 25.42K (0.03%) | 25.42K Increased by +100.00% | Dec 31, 25 |
| 20 | Public Employees Retirement System Of Ohio | 23.42K (0.03%) | -8.22K Decreased by -35.12% | Dec 31, 25 |
| Rank | Holder | SharesFloat % | Change | Date reported |
|---|---|---|---|---|
| 1 | Haas invest4 innovation S | 200.00K (0.25%) | -25.00K Decreased by -12.50% | Mar 31, 26 |
| 2 | Strategic Advisers® Emerging Markets | 71.92K (0.09%) | 0.00 Increased by 0.00% | Nov 30, 23 |
| 3 | Lemanik SICAV Asian Opp Cap Retl EUR | 70.00K (0.09%) | 0.00 Increased by 0.00% | Feb 28, 25 |
| 4 | Strategic Advisers Emerging Markets | 63.37K (0.08%) | 0.00 Increased by 0.00% | Feb 28, 26 |
| 5 | SEI World Equity Ex-US A (SIIT) | 51.89K (0.06%) | 0.00 Increased by 0.00% | Feb 28, 26 |
| 6 | Invesco Golden Dragon China ETF | 29.24K (0.04%) | 0.00 Increased by 0.00% | Feb 28, 26 |
| 7 | Fidelity Nasdaq Composite Index | 21.47K (0.03%) | 0.00 Increased by 0.00% | Feb 28, 26 |
| 8 | Dimensional Emerging Markets Cr Eq 2 ETF | 16.20K (0.02%) | 0.00 Increased by 0.00% | Feb 25, 26 |
| 9 | Harbor International Core Investor | 15.71K (0.02%) | 15.71K Increased by +100.00% | Dec 31, 25 |
| 10 | Acadian Enhanced Global Equity Composite | 14.96K (0.02%) | 14.96K Increased by +100.00% | Mar 31, 24 |
| 11 | Acadian Emerging Markets Equity Compst | 13.13K (0.02%) | 13.13K Increased by +100.00% | Mar 31, 24 |
| 12 | Dimensional Emerging Mkts Val EUR Acc | 10.90K (0.01%) | 0.00 Increased by 0.00% | Jan 31, 24 |
| 13 | Voya Multi-Manager International Sm Cp A | 9.71K (0.01%) | 0.00 Increased by 0.00% | Jan 31, 26 |
| 14 | DFA Emerging Markets Small Cap I | 9.22K (0.01%) | 0.00 Increased by 0.00% | Dec 31, 25 |
| 15 | DFA Emerging Markets Social Core Port | 7.88K (0.01%) | 0.00 Increased by 0.00% | Jan 31, 26 |
| 16 | Acadian Emerg Mkts Eq II A USD Acc | 7.82K (0.01%) | 0.00 Increased by 0.00% | Feb 28, 26 |
| 17 | Dimensional World Equity GBP Acc | 5.68K (0.01%) | 0.00 Increased by 0.00% | Feb 28, 26 |
| 18 | Acadian Emerging Markets Equity Cl A | 5.36K (0.01%) | 0.00 Increased by 0.00% | Mar 4, 25 |
| 19 | Acadian Emerging Markets Small-Cap Comp | 4.50K (0.01%) | 4.50K Increased by +100.00% | Mar 31, 24 |
| 20 | DFA International Core Equity Class F | 4.45K (0.01%) | 0.00 Increased by 0.00% | Jan 31, 26 |