ISHARES GOLD TRUST - ISHARES NEW (IAU)

Historical Holders from Q1 2016 to Q4 2025

Type / Class
Equity / ISHARES NEW
Symbol
IAU on NYSE
Price per share
$81.17
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
429,995,065
Total reported value
$31,274,849,555
% of total 13F portfolios
0.17%
Share change
+26,890,510
Value change
+$1,967,458,558
Number of holders
1,677
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES GOLD TRUST - ISHARES NEW (IAU) has 1,677 institutional shareholders filing 13F forms. They hold 429,995,065 shares. .

Institutional Holders of ISHARES GOLD TRUST - ISHARES NEW (IAU) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 10,914,367 $893,416,476 -$5,422,875 $81.17 146
2025 Q3 429,995,065 $31,274,849,555 +$1,967,458,558 $72.77 1,677
2025 Q2 400,871,850 $24,996,501,478 +$11,605,805 $62.36 1,568
2025 Q1 403,216,379 $23,763,310,672 +$2,000,991,750 $58.96 1,522
2024 Q4 367,362,643 $18,199,154,803 +$731,489,326 $49.51 1,383
2024 Q3 350,893,489 $17,440,553,405 -$948,891,894 $49.70 1,201
2024 Q2 370,159,950 $16,272,237,732 +$68,131,593 $43.93 1,139
2024 Q1 369,538,936 $15,528,093,699 -$980,452,813 $42.01 1,119
2023 Q4 1,853,229 $72,172,235 +$3,388,430 $39.03 20
2023 Q3 384,390,915 $13,477,154,668 -$1,683,760,871 $34.99 1,009
2023 Q2 431,402,800 $15,704,934,141 +$466,039,382 $36.39 1,033
2023 Q1 415,528,807 $15,527,796,404 +$160,976,319 $37.37 1,001
2022 Q4 424,436,885 $14,671,475,718 -$1,520,386,557 $34.59 981
2022 Q3 449,476,132 $14,206,611,806 -$495,307,559 $31.53 913
2022 Q2 481,825,745 $16,524,541,855 +$1,409,920,215 $34.31 971
2022 Q1 439,339,811 $16,170,309,463 -$723,590,492 $36.83 898
2021 Q4 458,872,698 $15,959,479,267 -$428,244,170 $34.81 942
2021 Q3 468,662,164 $15,662,066,981 -$60,527,061 $33.41 840
2021 Q2 470,960,895 $15,842,935,794 +$15,361,988,584 $33.71 810
2021 Q1 3,093,929 $52,134,252 +$9,754,405 $16.26 9
2020 Q4 2,490,321 $46,778,058 +$1,465,649 $18.13 9
2020 Q3 1,473,731 $28,157,150 +$309,279 $17.99 6
2020 Q2 1,457,144 $26,505,766 +$44,202 $16.99 5
2020 Q1 1,454,544 $23,870,325 -$2,409,984 $15.07 5
2019 Q4 1,615,214 $25,430,252 +$812,425 $14.50 8
2019 Q3 1,555,829 $23,988,688 +$19,942,941 $14.10 6
2019 Q2 141,456 $4,023,622 +$46,384 $13.50 5
2019 Q1 138,017 $3,939,222 +$136,000 $12.38 5
2018 Q4 9,269 $113,633 -$112,015 $12.20 2
2018 Q3 18,407 $210,022 -$38,528 $11.37 2
2018 Q2 21,752 $261,211 -$8,835 $12.02 3
2018 Q1 22,487 $286,753 +$10,012 $12.73 3
2017 Q4 21,710 $271,506 +$24,520 $12.51 3
2017 Q3 19,750 $243,517 $0 $12.31 3
2017 Q2 19,750 $236,099 +$18,919 $11.94 3
2017 Q1 18,181 $218,313 $0 $12.01 3
2016 Q4 18,181 $201,183 +$5,540 $11.08 3
2016 Q3 836 $11,000 $0 $13.16 1
2016 Q2 836 $11,000 $0 $13.16 1
2016 Q1 836 $10,000 $0 $11.96 1