iShares MSCI Eurozone ETF - COMMON STOCK (EZU)

Historical Holders from Q1 2014 to Q3 2025

Symbol
EZU
CUSIP
464286608
Type / Class
Equity / COMMON STOCK
Shares outstanding
135M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
79.9M
Holdings value
$4.95B
% of all portfolios
0.008%
Grand Portfolio weight change
0%
Number of holders
316
Number of buys
121
Number of sells
-142
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of iShares MSCI Eurozone ETF - COMMON STOCK (EZU)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FMR LLC 10.3% +23.8% $862M $197M 13.9M +29.7% FMR LLC Oct 31, 2025
BlackRock Portfolio Management LLC 10.1% +12.2% $820M -$69.5M 13.5M -7.82% BlackRock Portfolio Management LLC May 31, 2025

Institutional Holders of iShares MSCI Eurozone ETF - COMMON STOCK (EZU)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 79.9M $4.95B -$306M $61.94 316
2025 Q2 85.8M $5.1B -$1.73B $59.45 331
2025 Q1 115M $6.13B +$708M $53.25 281
2024 Q4 102M $4.84B -$377M $47.20 250
2024 Q3 110M $5.72B +$205M $52.23 257
2024 Q2 106M $5.18B +$128M $48.83 249
2024 Q1 103M $5.27B -$57.6M $51.06 235
2023 Q4 5.63K $267K -$375K $47.44 1
2023 Q3 102M $4.33B -$817M $42.24 238
2023 Q2 122M $5.59B +$499M $45.82 267
2023 Q1 111M $5B +$385M $45.08 241
2022 Q4 103M $4.05B +$120M $39.48 193
2022 Q3 99.4M $3.18B +$31.7M $31.98 165
2022 Q2 98.5M $3.58B -$206M $36.35 178
2022 Q1 104M $4.49B +$175M $43.27 194
2021 Q4 84.4M $4.13B -$324M $49.01 218
2021 Q3 107M $5.17B +$88.1M $48.12 216
2021 Q2 105M $5.2B +$2.13B $49.35 200
2021 Q1 63.2M $2.93B -$45.7M $46.43 193
2020 Q4 63.5M $2.8B -$405M $44.08 178
2020 Q3 73.4M $2.78B -$63M $37.92 169
2020 Q2 75M $2.74B +$26.2M $36.48 164
2020 Q1 74.5M $2.27B -$650M $30.51 165
2019 Q4 92.5M $3.88B +$474M $41.92 210
2019 Q3 81.1M $3.15B -$236M $38.89 194
2019 Q2 87.1M $3.44B -$427M $39.55 206
2019 Q1 97.9M $3.78B -$286M $38.60 199
2018 Q4 106M $3.71B -$573M $35.06 219
2018 Q3 121M $4.97B -$293M $41.00 241
2018 Q2 129M $5.27B -$1.42B $41.01 245
2018 Q1 163M $7.08B -$921M $43.35 264
2017 Q4 185M $8.01B +$1.06B $43.38 274
2017 Q3 158M $6.86B +$370M $43.32 234
2017 Q2 150M $6.06B +$1.82B $40.33 227
2017 Q1 105M $3.96B +$2.17B $37.60 170
2016 Q4 82.3M $2.85B -$188M $34.60 156
2016 Q3 87.9M $3.03B -$919M $34.49 161
2016 Q2 115M $3.71B -$1.11B $32.27 155
2016 Q1 148M $5.09B -$777M $34.39 160
2015 Q4 171M $5.97B +$1.62B $35.04 175
2015 Q3 125M $4.3B +$690M $34.34 164
2015 Q2 106M $3.97B +$690M $37.54 163
2015 Q1 87.8M $3.39B +$329M $38.58 162
2014 Q4 80M $2.9B +$138M $36.33 156
2014 Q3 77.3M $2.99B -$255M $38.50 147
2014 Q2 83.8M $3.55B +$157M $42.32 173
2014 Q1 80.1M $3.38B +$589M $42.27 165