NEW YORK LIFE INVESTMENTS ET - NYLI CANDRIAM IN (IQSI)

Historical Holders from Q4 2019 to Q4 2025

Type / Class
Equity / NYLI CANDRIAM IN
Symbol
IQSI
Price per share
$35.17
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
5,886,892
Total reported value
$200,368,538
% of total 13F portfolios
0%
Share change
+189,759
Value change
+$6,474,161
Number of holders
23
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, NEW YORK LIFE INVESTMENTS ET - NYLI CANDRIAM IN (IQSI) has 23 institutional shareholders filing 13F forms. They hold 5,886,892 shares. .

Institutional Holders of NEW YORK LIFE INVESTMENTS ET - NYLI CANDRIAM IN (IQSI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 11,437 $402,264 +$77,168 $35.17 1
2025 Q3 5,886,892 $200,368,538 +$6,474,161 $34.03 23
2025 Q2 5,697,133 $189,110,491 -$8,038,202 $33.20 21
2025 Q1 5,985,307 $180,647,418 -$21,271,897 $30.18 19
2024 Q4 6,661,852 $190,036,697 +$40,817,030 $28.53 15
2024 Q3 5,200,132 $163,342,477 -$3,650,580 $31.41 14
2024 Q2 5,317,109 $156,124,640 -$16,080,052 $29.36 15
2024 Q1 5,819,105 $173,821,864 -$28,619,886 $29.87 17
2023 Q4 6,821,224 $190,661,135 -$1,099,048 $27.95 18
2023 Q3 6,789,417 $174,634,649 +$7,769,803 $25.72 14
2023 Q2 6,487,591 $176,310,185 -$13,954,574 $27.18 9
2023 Q1 7,005,510 $186,046,508 -$2,453,966 $26.56 11
2022 Q4 7,139,956 $177,070,739 -$16,255,067 $24.80 11
2022 Q3 7,795,395 $164,155,000 +$8,928,271 $21.07 9
2022 Q2 7,365,328 $173,725,000 -$1,916,808 $23.58 9
2022 Q1 7,446,402 $205,793,000 +$12,900,143 $27.64 9
2021 Q4 6,979,144 $209,197,000 +$7,341,671 $29.97 10
2021 Q3 6,734,211 $197,032,000 +$11,653,453 $29.26 9
2021 Q2 6,335,880 $187,858,000 +$16,666,429 $29.64 8
2021 Q1 5,773,770 $164,621,000 +$26,894,143 $28.51 6
2020 Q4 4,831,350 $132,138,000 +$6,778,014 $27.35 6
2020 Q3 4,632,211 $111,170,000 +$9,547,053 $24.00 5
2020 Q2 4,234,419 $96,967,000 +$87,056,569 $22.90 4
2020 Q1 432,786 $8,517,000 -$166,386 $19.68 2
2019 Q4 441,245 $11,148,000 +$11,147,981 $25.26 2