ISHARES MSCI SPAIN ETF - Common Stock (EWP)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / Common Stock
Symbol
EWP
Shares outstanding
28,490,109
Price per share
$53.91
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
19,387,279
Total reported value
$959,569,618
% of total 13F portfolios
0%
Share change
-497,941
Value change
-$13,722,243
Number of holders
104
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ISHARES MSCI SPAIN ETF - Common Stock (EWP) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock Portfolio Management LLC 6.4% +100% $90,256,849 +$39,689,725 1,823,367 +78% BlackRock Portfolio Management LLC 30 Sep 2025
As of 30 Sep 2025, ISHARES MSCI SPAIN ETF - Common Stock (EWP) has 104 institutional shareholders filing 13F forms. They hold 19,387,279 shares. of 28,490,109 outstanding shares (68%) .

Top 25 institutional shareholders own 65% of the company.

Filer Ownership Nb Shares Share Change % Portfolio % Holdings Value
National Pension Service 28% 8,092,278 0% 0.31% $400,729,607
HSBC HOLDINGS PLC 17% 4,754,713 +8.3% 0.14% $235,358,294
BlackRock, Inc. 6.4% 1,823,367 +78% 0% $90,256,668
Tradewinds Capital Management, LLC 2.4% 677,221 -1.7% 7.5% $33,522,440
DZ BANK AG Deutsche Zentral Genossenschafts Bank, Frankfurt am Main 1.5% 417,473 +9358% 0.02% $20,664,914
LPL Financial LLC 0.87% 247,501 -51% 0% $12,251,295
Whitcomb & Hess, Inc. 0.76% 217,348 -14% 2.8% $10,758,714
Millburn Ridgefield LLC /DE/ 0.76% 216,614 -8.3% 0.26% $10,722,393
Catalyst Capital Advisors LLC 0.76% 216,614 -8.3% 0.22% $10,722,393
CIBC WORLD MARKET INC. 0.75% 214,886 -0.23% 0.02% $10,636,857
MORGAN STANLEY 0.75% 212,452 -29% 0% $10,516,374
PRINCIPAL FINANCIAL GROUP INC 0.72% 204,452 0.01% $10,120,374
UBS Group AG 0.69% 197,712 +55% 0% $9,786,745
AMERIPRISE FINANCIAL INC 0.51% 145,868 +3.3% 0% $7,220,246
EWG Elevate Inc. 0.46% 131,955 -17% 2% $6,531,785
CoreCap Advisors, LLC 0.34% 96,988 0.17% $4,800,906
Monument Capital Management 0.28% 80,419 -7.6% 1% $3,980,741
JPMORGAN CHASE & CO 0.26% 75,389 +118% 0% $3,731,756
MMA ASSET MANAGEMENT LLC 0.23% 64,493 -12% 1.1% $3,192,404
Arlington Capital Management, Inc. 0.22% 62,973 2% $3,117,163
FOUNDERS FINANCIAL SECURITIES LLC 0.22% 62,919 +0.11% 0.21% $3,114,490
HighTower Advisors, LLC 0.21% 61,223 +2.4% 0% $3,030,544
Equitable Holdings, Inc. 0.21% 60,293 -8.4% 0.02% $2,984,504
D. E. Shaw & Co., Inc. 0.2% 58,299 -59% 0% $2,885,801
MONTAG A & ASSOCIATES INC 0.2% 56,351 +119% 0.13% $2,789,375

Institutional Holders of ISHARES MSCI SPAIN ETF - Common Stock (EWP) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 144,397 $7,784,072 +$2,041,333 $53.91 4
2025 Q3 19,387,279 $959,569,618 -$13,722,243 $49.50 104
2025 Q2 19,865,880 $875,116,868 +$116,191,001 $44.03 107
2025 Q1 17,258,789 $657,365,403 -$19,842,647 $38.06 83
2024 Q4 17,932,598 $557,429,943 +$30,727,406 $31.05 75
2024 Q3 16,759,057 $591,906,469 -$58,548,900 $35.29 71
2024 Q2 19,113,614 $596,054,283 +$31,080,098 $31.23 74
2024 Q1 17,078,684 $549,423,984 +$92,208,099 $32.17 65
2023 Q4 13,813,704 $422,976,658 +$73,639,202 $30.62 74
2023 Q3 11,776,438 $322,543,888 -$942,498 $27.50 67
2023 Q2 11,740,324 $337,641,307 +$69,582,054 $28.90 66
2023 Q1 9,313,843 $259,894,207 -$28,387,653 $27.87 50
2022 Q4 10,293,750 $248,965,006 +$4,899,403 $24.18 52
2022 Q3 10,359,826 $206,112,492 +$47,073,989 $19.82 47
2022 Q2 7,430,137 $173,271,011 -$1,194,368 $23.32 42
2022 Q1 7,494,410 $190,839,736 -$1,240,986 $25.46 47
2021 Q4 9,476,793 $249,210,261 -$90,495,905 $26.27 57
2021 Q3 14,132,111 $381,565,020 +$69,705,903 $26.97 73
2021 Q2 11,531,234 $327,988,784 +$59,453,361 $28.42 70
2021 Q1 9,293,446 $254,557,705 +$40,617,739 $27.39 58
2020 Q4 7,621,190 $205,955,338 -$71,244,128 $27.04 47
2020 Q3 10,872,925 $237,471,044 +$13,536,767 $21.76 52
2020 Q2 10,112,646 $227,118,658 -$55,479,200 $22.46 52
2020 Q1 12,779,028 $259,666,138 -$64,581,121 $20.32 57
2019 Q4 14,540,360 $420,504,543 +$45,948,118 $28.92 68
2019 Q3 12,725,858 $354,282,223 -$281,477,235 $27.84 68
2019 Q2 21,695,854 $627,195,489 +$291,945,284 $28.91 75
2019 Q1 11,757,626 $336,355,597 -$149,886,936 $28.61 68
2018 Q4 17,333,416 $468,910,601 +$148,594,590 $26.82 73
2018 Q3 12,074,909 $357,814,955 +$67,411,678 $29.61 77
2018 Q2 8,842,857 $268,247,176 -$181,034,778 $30.35 69
2018 Q1 15,403,641 $500,915,267 -$78,789,144 $32.51 90
2017 Q4 17,746,433 $581,821,499 -$123,584,994 $32.77 96
2017 Q3 21,483,833 $724,403,903 +$58,936,225 $33.74 94
2017 Q2 19,852,529 $652,245,125 +$165,660,984 $32.84 96
2017 Q1 14,781,969 $449,503,498 +$183,152,348 $30.41 80
2016 Q4 10,998,937 $291,799,608 +$1,989,558 $26.51 79
2016 Q3 9,966,106 $267,295,823 -$181,271,239 $26.82 75
2016 Q2 17,096,728 $427,038,422 -$48,277,110 $24.98 81
2016 Q1 18,707,945 $508,458,445 -$233,205,104 $27.18 70
2015 Q4 27,064,538 $764,707,509 -$6,385,840 $28.27 94
2015 Q3 27,192,738 $806,850,251 +$12,515,141 $29.66 91
2015 Q2 26,363,863 $883,693,099 +$195,049,731 $33.55 103
2015 Q1 20,656,260 $718,612,663 +$5,751,443 $34.78 91
2014 Q4 20,211,651 $699,897,965 -$267,891,771 $34.63 108
2014 Q3 27,731,879 $1,078,766,894 -$123,856,708 $38.90 129
2014 Q2 29,747,939 $1,273,659,207 +$593,197,680 $42.82 143
2014 Q1 15,614,612 $637,034,231 +$199,903,530 $40.80 119