ISHARES INC - EM MKTS DIV ETF (DVYE)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / EM MKTS DIV ETF
Symbol
DVYE
Price per share
$31.16
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
17,278,364
Total reported value
$512,965,185
% of total 13F portfolios
0%
Share change
+1,639,953
Value change
+$48,797,162
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
169
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES INC - EM MKTS DIV ETF (DVYE) has 169 institutional shareholders filing 13F forms. They hold 17,278,364 shares. .

Institutional Holders of ISHARES INC - EM MKTS DIV ETF (DVYE) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 233,905 $7,366,250 +$1,959,894 3,116% 6
2025 Q3 17,278,364 $512,965,185 +$48,797,162 2,969% 169
2025 Q2 15,455,341 $443,009,418 +$85,129,295 2,865% 162
2025 Q1 12,610,720 $344,020,939 -$11,246,989 2,729% 155
2024 Q4 13,086,403 $338,144,397 +$11,570,487 2,583% 144
2024 Q3 12,456,817 $357,719,799 -$11,286,342 2,870% 147
2024 Q2 12,939,265 $351,630,224 -$13,855,174 2,718% 145
2024 Q1 13,316,745 $348,505,112 +$8,024,383 2,616% 145
2023 Q4 70,190 $1,791,254 2,552.01% 1
2023 Q3 12,673,116 $301,895,494 +$3,501,032 2,382% 125
2023 Q2 12,541,349 $307,254,193 -$13,889,898 2,450% 128
2023 Q1 13,126,082 $322,129,746 -$3,623,392 2,454% 134
2022 Q4 12,888,469 $310,881,770 +$27,249,834 2,412% 126
2022 Q3 9,912,687 $224,807,178 -$15,517,058 2,267.95% 110
2022 Q2 10,362,120 $275,620,788 -$10,235,171 2,659.92% 123
2022 Q1 10,648,949 $348,105,466 -$3,324,209 3,270% 135
2021 Q4 10,715,879 $412,623,376 +$815,058 3,850% 151
2021 Q3 10,544,307 $410,054,135 -$80,794,278 3,890.02% 144
2021 Q2 12,529,407 $486,616,577 +$42,468,907 3,884.85% 144
2021 Q1 11,529,157 $451,608,737 +$96,180,443 3,918.08% 150
2020 Q4 9,024,278 $336,334,888 -$118,187,256 3,722.81% 136
2020 Q3 11,727,708 $353,113,406 +$22,236,637 3,010.96% 133
2020 Q2 11,091,343 $347,496,884 -$38,167,821 3,131.97% 122
2020 Q1 12,226,990 $343,998,636 +$49,837,326 2,814.94% 124
2019 Q4 10,402,523 $422,511,634 +$33,533,752 4,061.68% 121
2019 Q3 9,355,552 $350,318,176 +$62,883,616 3,741.65% 113
2019 Q2 7,677,937 $313,047,128 -$3,121,217 4,078.91% 110
2019 Q1 7,755,829 $311,925,039 -$35,299,048 4,020.93% 112
2018 Q4 8,718,105 $327,132,705 +$148,876,040 3,743% 99
2018 Q3 4,769,346 $185,452,573 -$13,253,017 3,891.02% 84
2018 Q2 5,125,971 $202,798,734 +$3,868,994 3,937.04% 85
2018 Q1 5,009,894 $217,239,391 +$45,057,090 4,336.5% 89
2017 Q4 3,849,888 $160,905,254 +$8,949,517 4,182.76% 78
2017 Q3 3,554,130 $147,142,000 +$22,534,237 4,145.98% 62
2017 Q2 2,977,670 $119,421,682 +$22,584,105 4,017.02% 59
2017 Q1 2,515,057 $100,253,320 +$21,132,104 3,984.73% 54
2016 Q4 2,554,457 $88,490,000 -$19,943,513 3,458.19% 54
2016 Q3 3,018,518 $108,413,000 +$49,622,544 3,590.05% 54
2016 Q2 1,706,608 $57,063,000 +$13,715,502 3,342.65% 51
2016 Q1 1,196,967 $39,136,000 -$17,922,090 3,277.08% 39
2015 Q4 1,816,670 $54,619,000 +$9,716,707 3,011.57% 37
2015 Q3 1,541,722 $47,705,000 -$17,380,711 3,085.7% 35
2015 Q2 2,109,650 $87,258,996 +$1,227,238 4,140.83% 42
2015 Q1 2,076,062 $85,511,994 +$10,190,765 4,117.95% 40
2014 Q4 1,824,003 $76,297,267 -$48,533,278 4,182.44% 43
2014 Q3 2,886,029 $130,156,307 +$64,885,568 4,510.99% 38
2014 Q2 1,432,596 $69,725,831 +$26,826,408 4,867.23% 36
2014 Q1 881,750 $42,034,403 +$4,013,478 4,767.24% 32