BLACKROCK SYSTEMATIC MULTI STR - MUTUAL FUNDS Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2020 to Q4 2025

Type / Class
Equity / MUTUAL FUNDS
Price per share
$10.37
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
688,564
Total reported value
$7,171,098
% of total 13F portfolios
0%
Share change
+616,679
Value change
+$6,426,247
Number of holders
5
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 5 institutional investors reported holding 688,564 shares of BLACKROCK SYSTEMATIC MULTI STR - MUTUAL FUNDS.

Institutional Holders of BLACKROCK SYSTEMATIC MULTI STR - MUTUAL FUNDS across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 19,488 $202,000 -$6,460,629 $10.37 1
2025 Q3 688,564 $7,171,098 +$6,426,247 $10.42 5
2025 Q2 71,885 $748,295 +$356,005 $10.46 3
2025 Q1 37,489 $389,030 $10.38 2
2024 Q4 38,995 $394,023 +$5,114 $10.10 3
2024 Q3 38,489 $414,450 -$593,710 $10.77 2
2024 Q2 96,753 $986,332 -$4,422 $10.19 3
2024 Q1 97,187 $993,863 -$744,009 $10.23 3
2023 Q4 171,235 $1,684,646 -$5,713,649 $9.84 7
2023 Q3 750,601 $7,377,803 -$1,784,051 $9.83 3
2023 Q2 932,778 $9,000,527 +$211,229 $9.65 5
2023 Q1 910,889 $8,780,667 -$869,011 $9.64 4
2022 Q4 1,000,975 $9,669,072 -$1,486,583 $9.66 4
2022 Q3 1,154,451 $11,268,000 -$187,560 $9.76 4
2022 Q2 1,173,663 $11,841,000 -$646,704 $10.09 3
2022 Q1 1,237,761 $12,559,000 +$38,367 $10.15 3
2021 Q4 1,233,981 $12,896,000 +$192,731 $10.45 3
2021 Q3 1,215,539 $12,678,000 +$742,522 $10.43 3
2021 Q2 1,984,799 $20,861,000 +$372,479 $10.51 4
2021 Q1 1,949,359 $19,923,000 +$1,040,826 $10.22 4
2020 Q4 1,847,833 $18,662,000 +$512,827 $10.10 5
2020 Q3 1,772,812 $18,155,000 +$16,317,895 $10.24 3
2020 Q2 179,365 $1,842,000 +$1,842,007 $10.27 1