DOSSIER · 13F Holders · Q1 2026ETF · Exchange Traded FundMost-boughtAI cap-ex
SRLN

SSGA ACTIVE ETF TR

524 institutions still hold SSGA ACTIVE ETF TR as of Q1 2026. Tracked across SEC 13F-HR filings, with insider and 13D/G activity surfaced alongside.

CUSIP 78467V608·Exchange Traded Fund·524 13F holders·last filed Mar 31, 2026
Market cap
6.9%
vs prior quarter
13F value held
$2.6B
64.0% inst. owned
of float
Holders
524
+49 QoQ
filers reporting
Activity
+91 / −55
+901 added · −908 reduced
this quarter
Concentration
13.01%
Arizona PSPRS Trust #1
top holder share
AI Holders Summary · Q1 2026

524 institutions reported SRLN in Q1 2026. Arizona PSPRS Trust leads at 13.0% of the visible book. +49 net new institutions vs prior quarter — accumulation reading.

Top holders

Sorted by position value. Source: SEC EDGAR 13F-HR filings.

#HolderValueShares% port.Quarter
01
Arizona PSPRS Trust
CIK 0001565332
$339M8.5M12.49%Q1 2026
02
BANK OF AMERICA CORP /DE/
CIK 0000070858
$304M7.6M0.02%Q1 2026
03
MORGAN STANLEY
CIK 0000895421
$277M6.9M0.02%Q1 2026
04
State of Tennessee, Department of Treasury
CIK 0001587973
$238M5.9M0.80%Q1 2026
05
Ensign Peak Advisors, Inc
CIK 0001454984
$180M4.5M0.34%Q1 2026
06
STATE STREET CORP
CIK 0000093751
$147M3.7M0.01%Q1 2026
07
LPL Financial LLC
CIK 0001403438
$139M3.5M0.04%Q1 2026
08
Liberty Mutual Group Asset Management Inc.
CIK 0001533497
$121M3.0M9.70%Q1 2026
09
GOLDMAN SACHS GROUP INC
CIK 0000886982
$111M2.8M0.01%Q1 2026
10
UBS Group AG
CIK 0001610520
$105M2.6M0.02%Q1 2026
11
Advisory Alpha, LLC
CIK 0001576762
$93M2.3M2.55%Q1 2026
12
ROYAL BANK OF CANADA
CIK 0001000275
$90M2.3M0.02%Q1 2026
13
WELLS FARGO & COMPANY/MN
CIK 0000072971
$88M2.2M0.02%Q1 2026
14
WELLINGTON MANAGEMENT GROUP LLP
CIK 0000902219
$70M1.7M0.01%Q1 2026
15
1832 Asset Management L.P.
CIK 0000944388
$64M1.6M0.06%Q1 2026
16
BlackRock, Inc.
CIK 0002012383
$61M1.5M0.00%Q1 2026
17
Ocean Park Asset Management, LLC
CIK 0001538052
$51M1.3M2.96%Q1 2026
18
Horizon Investments, LLC
CIK 0001560717
$48M1.2M0.61%Q4 2025
19
DIVERSIFY WEALTH MANAGEMENT, LLC
CIK 0002030780
$41M1.0M0.73%Q1 2026
20
Aristotle Pacific Capital, LLC
CIK 0001844577
$40M997K32.54%Q1 2026
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