ISHARES INC - MSCI EMERG MRKT (EEMV)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / MSCI EMERG MRKT
Symbol
EEMV
Price per share
$64.04
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
38,463,986
Total reported value
$2,455,327,542
% of total 13F portfolios
0.01%
Share change
+339,452
Value change
+$22,450,844
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
344
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES INC - MSCI EMERG MRKT (EEMV) has 344 institutional shareholders filing 13F forms. They hold 38,463,986 shares. .

Institutional Holders of ISHARES INC - MSCI EMERG MRKT (EEMV) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 664,761 $42,654,652 +$566,348 6,403.98% 14
2025 Q3 38,463,986 $2,455,327,542 +$22,450,844 6,383% 344
2025 Q2 38,230,224 $2,400,880,576 -$60,095,707 6,280% 338
2025 Q1 39,323,071 $2,293,448,041 +$4,364,934 5,834% 322
2024 Q4 39,296,903 $2,279,533,208 -$85,812,301 5,799% 343
2024 Q3 40,763,281 $2,553,713,600 -$531,524,507 6,270% 331
2024 Q2 49,412,253 $2,827,311,465 -$22,013,063 5,721% 333
2024 Q1 49,755,165 $2,815,449,755 -$77,484,713 5,659% 323
2023 Q4 18,099 $1,006,099 -$2,607,936 5,558.8% 2
2023 Q3 53,855,887 $2,877,124,947 -$23,044,944 5,335% 346
2023 Q2 54,186,334 $2,979,110,335 -$215,999,019 5,498% 356
2023 Q1 58,036,799 $3,167,696,658 -$3,967,046,089 5,457% 378
2022 Q4 133,006,565 $7,046,475,896 +$1,001,812,703 5,305% 473
2022 Q3 127,213,120 $6,449,315,837 +$1,649,462,446 5,068% 422
2022 Q2 94,636,096 $5,245,862,246 +$2,721,526,342 5,543% 430
2022 Q1 44,002,688 $2,685,147,047 +$13,202,535 6,102.99% 334
2021 Q4 43,961,928 $2,761,331,831 -$15,561,163 6,282% 342
2021 Q3 30,431,962 $1,907,617,117 -$63,676,217 6,266.99% 309
2021 Q2 31,528,966 $2,021,556,322 -$139,619,730 6,416% 325
2021 Q1 33,954,162 $2,142,191,402 -$183,229,166 6,316% 348
2020 Q4 35,806,284 $2,186,694,576 -$262,131,494 6,108.04% 349
2020 Q3 39,840,150 $2,198,384,316 -$128,492,176 5,517.97% 316
2020 Q2 41,856,190 $2,169,341,479 -$193,527,527 5,200.02% 322
2020 Q1 42,844,615 $2,011,970,378 -$392,465,826 4,691.9% 332
2019 Q4 53,447,159 $3,131,976,410 -$62,295,697 5,865.89% 387
2019 Q3 54,085,420 $3,087,382,396 -$80,905,786 5,708.97% 341
2019 Q2 54,958,562 $3,233,775,458 -$371,698,369 5,885.97% 358
2019 Q1 61,116,177 $3,628,505,129 +$273,206,471 5,927% 364
2018 Q4 56,503,525 $3,158,543,895 +$371,072,127 5,587% 335
2018 Q3 45,704,885 $2,692,209,953 +$265,540,318 5,929.99% 290
2018 Q2 43,262,054 $2,504,633,969 -$34,401,071 5,783.98% 296
2018 Q1 43,620,017 $2,718,571,225 -$39,990,142 6,233.95% 306
2017 Q4 41,631,288 $2,529,157,928 -$51,370,089 6,076% 289
2017 Q3 41,506,479 $2,409,690,437 +$102,783,443 5,809.97% 241
2017 Q2 39,854,857 $2,208,294,288 -$27,130,500 5,540% 237
2017 Q1 40,074,668 $2,138,991,417 +$6,504,236 5,350% 235
2016 Q4 43,496,673 $2,123,924,232 -$341,806,991 4,891.01% 238
2016 Q3 49,314,721 $2,665,556,213 +$193,140,688 5,405.99% 236
2016 Q2 45,766,948 $2,359,850,702 +$417,582,348 5,159% 212
2016 Q1 34,538,938 $1,773,168,471 +$276,456,930 5,136.91% 206
2015 Q4 31,555,142 $1,534,885,354 +$181,842,663 4,866% 186
2015 Q3 27,288,559 $1,359,919,831 +$62,730,524 4,981.95% 155
2015 Q2 26,536,508 $1,528,679,300 +$361,015,880 5,767.99% 157
2015 Q1 19,761,385 $1,166,514,104 -$10,515,386 5,901.13% 142
2014 Q4 19,936,843 $1,129,014,880 -$43,175,399 5,662.97% 148
2014 Q3 20,038,230 $1,197,923,634 +$75,567,898 5,979.99% 124
2014 Q2 18,933,975 $1,137,419,219 -$150,843,525 6,007.03% 128
2014 Q1 21,357,987 $1,221,625,147 -$327,445,742 5,720% 119