GLOBAL X FDS

Ticker: LIT CUSIP: 37954Y855 Class: LITHIUM BTRY ETF

Mirae Asset Global Investments Co., Ltd.'s Holding History (CIK: 0001569395)

Note: Option positions (PUT/CALL) are excluded.

Q4 2025
Shares 12,630 Value ($000) $819 Avg Close Range
Q3 2025
Shares 2,130 Value ($000) $121 Avg Close Range
Q2 2025
Shares 9,230 Value ($000) $354 Avg Close Range
Q1 2025
Shares 40,591 Value ($000) $1,598 Avg Close Range
Q4 2024
Shares 14,902 Value ($000) $625 Avg Close Range
Q3 2024
Shares 84,765 Value ($000) $3,603 Avg Close Range
Q2 2024
Shares 23,930 Value ($000) $944 Avg Close Range
Q1 2024
Shares 252,571 Value ($000) $12,597 Avg Close Range
Q4 2023
Shares 394,520 Value ($000) $20,097 Avg Close Range
Q3 2023
Shares 225,191 Value ($000) $12,424 Avg Close Range
Q2 2023
Shares 506,444 Value ($000) $32,929 Avg Close Range
Q1 2023
Shares 673,426 Value ($000) $42,796 Avg Close Range
Q4 2022
Shares 730,902 Value ($000) $42,838 Avg Close Range
Q3 2022
Shares 774,922 Value ($000) $51,215 Avg Close Range
Q2 2022
Shares 1,475,227 Value ($000) $107,131 Avg Close Range
Q1 2022
Shares 1,918,028 Value ($000) $147,650 Avg Close Range
Q4 2021
Shares 2,279,944 Value ($000) $192,629 Avg Close Range
Q3 2021
Shares 2,423,132 Value ($000) $198,600 Avg Close Range
Q2 2021
Shares 613,332 Value ($000) $44,441 Avg Close Range
Q1 2021
Shares 294,307 Value ($000) $17,205 Avg Close Range
Q4 2020
Shares 141,050 Value ($000) $8,729 Avg Close Range
Q3 2020
Shares 70,742 Value ($000) $2,833 Avg Close Range
Q2 2020
Shares 37,726 Value ($000) $1,194 Avg Close Range
Q1 2020
Shares 22,298 Value ($000) $484 Avg Close Range
Q4 2019
Shares 42,114 Value ($000) $1,151 Avg Close Range
Q3 2019
Shares 32,530 Value ($000) $793 Avg Close Range
Q2 2019
Shares 37,240 Value ($000) $972 Avg Close Range
Q1 2019
Shares 37,740 Value ($000) $1,068 Avg Close Range
Q4 2018
Shares 32,230 Value ($000) $870 Avg Close Range
Q3 2018
Shares 32,590 Value ($000) $1,074 Avg Close Range
Q2 2018
Shares 39,690 Value ($000) $1,291 Avg Close Range
Q1 2018
Shares 465,772 Value ($000) $15,361 Avg Close Range