ISHARES TR - SELECT DIVID ETF (DVY)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / SELECT DIVID ETF
Symbol
DVY
Price per share
$141.14
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
66,619,924
Holdings value
$9,465,752,401
% of all portfolios
0.03%
Share change
-338,691
Value change
-$46,355,957
Average buys %
+0%
Average sells %
-0%
Number of holders
1,291
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - SELECT DIVID ETF (DVY) has 1,291 institutional shareholders filing 13F forms. They hold 66,619,924 shares .

Institutional Holders of ISHARES TR - SELECT DIVID ETF (DVY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 1,343,078 $190,517,663 +$1,019,808 $141.14 78
2025 Q3 66,619,924 $9,465,752,401 -$46,355,957 $142.10 1,291
2025 Q2 67,342,480 $8,949,638,951 -$83,149,298 $132.81 1,283
2025 Q1 68,013,867 $9,129,551,441 -$206,182,691 $134.29 1,294
2024 Q4 69,471,679 $9,121,959,754 +$354,857,942 $131.29 1,305
2024 Q3 66,049,552 $8,916,923,919 +$48,753,915 $135.07 1,237
2024 Q2 65,729,929 $7,951,628,717 -$379,531,301 $120.98 1,199
2024 Q1 68,846,096 $8,479,918,400 -$344,049,312 $123.18 1,214
2023 Q4 361,211 $42,341,193 -$7,774,707 $117.22 17
2023 Q3 76,273,296 $8,216,837,895 -$649,607,860 $107.64 1,127
2023 Q2 78,157,950 $8,860,761,148 -$716,218,878 $113.30 1,153
2023 Q1 88,523,936 $10,372,158,272 -$308,742,107 $117.18 1,169
2022 Q4 91,572,715 $11,055,628,195 +$850,981,141 $120.60 1,202
2022 Q3 84,294,805 $9,058,122,004 +$205,758,840 $107.22 1,101
2022 Q2 82,226,326 $9,681,901,591 +$539,889,693 $117.67 1,140
2022 Q1 75,592,484 $9,667,756,126 +$962,343,335 $128.13 1,149
2021 Q4 68,469,587 $8,394,428,527 +$488,622,650 $122.59 1,144
2021 Q3 63,672,801 $7,309,289,968 -$478,210,709 $114.72 1,012
2021 Q2 67,664,052 $7,890,885,357 +$203,149,516 $116.62 1,015
2021 Q1 60,464,049 $6,902,757,183 +$474,486,708 $114.10 986
2020 Q4 60,773,874 $5,848,263,337 +$170,015,371 $96.18 945
2020 Q3 59,249,921 $4,834,442,477 -$255,668,117 $81.54 843
2020 Q2 61,313,645 $4,949,612,719 -$524,127,721 $80.72 866
2020 Q1 68,438,656 $5,033,535,376 -$424,978,731 $73.54 891
2019 Q4 73,324,962 $7,745,590,193 +$421,623,328 $105.66 1,001
2019 Q3 70,433,102 $7,179,447,508 -$122,377,798 $101.95 908
2019 Q2 71,045,890 $7,070,701,812 +$41,212,172 $99.56 889
2019 Q1 70,837,744 $6,954,707,917 -$1,009,803,320 $98.18 890
2018 Q4 81,086,516 $7,244,488,938 +$1,217,120,020 $89.31 870
2018 Q3 65,837,673 $6,566,265,560 +$62,018,999 $99.76 826
2018 Q2 65,706,117 $6,421,908,105 -$181,018,158 $97.74 805
2018 Q1 68,151,992 $6,484,795,727 -$352,830,665 $95.12 810
2017 Q4 71,547,397 $7,053,074,865 +$61,399,094 $98.56 817
2017 Q3 69,597,715 $6,518,733,944 -$114,164,851 $93.65 716
2017 Q2 70,514,069 $6,501,364,219 -$88,509,512 $92.21 697
2017 Q1 71,146,065 $6,481,313,563 -$226,936,300 $91.10 699
2016 Q4 75,834,568 $6,714,660,484 +$382,082,868 $88.57 696
2016 Q3 70,910,725 $6,073,469,918 -$52,460,687 $85.69 636
2016 Q2 71,256,217 $6,074,866,803 +$24,135,543 $85.28 628
2016 Q1 70,553,769 $5,759,528,528 -$40,103,593 $81.67 605
2015 Q4 70,580,333 $5,302,963,887 +$222,372,692 $75.15 604
2015 Q3 66,833,482 $4,865,111,581 -$233,892,092 $72.75 561
2015 Q2 67,359,896 $5,063,256,024 -$159,099,149 $75.15 568
2015 Q1 72,590,997 $5,657,746,621 -$255,236,559 $77.94 575
2014 Q4 75,821,650 $6,019,654,618 +$376,472,790 $79.40 586
2014 Q3 68,154,471 $5,032,831,052 +$136,832,725 $73.86 516
2014 Q2 67,240,604 $5,174,242,778 +$83,765,824 $76.98 520
2014 Q1 66,021,379 $4,839,258,458 -$128,802,447 $73.32 500