ISHARES TR - MSCI EMG MKT ETF (EEM) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / MSCI EMG MKT ETF
Symbol
EEM
Price per share
$54.71
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
316,288,980
Total reported value
$16,888,695,570
% of total 13F portfolios
0.06%
Share change
+6,213,686
Value change
+$349,420,831
Number of holders
1,400
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1,400 institutional investors reported holding 316,288,980 shares of ISHARES TR - MSCI EMG MKT ETF (EEM).

Institutional Holders of ISHARES TR - MSCI EMG MKT ETF (EEM) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 4,268,621 $234,362,115 +$17,443,517 $54.71 117
2025 Q3 316,288,980 $16,888,695,570 +$349,420,831 $53.40 1,400
2025 Q2 311,909,829 $15,043,324,791 +$356,681,887 $48.24 1,343
2025 Q1 300,711,808 $13,135,807,187 -$789,917,861 $43.70 1,293
2024 Q4 319,216,397 $13,352,036,699 -$1,061,174,379 $41.82 1,310
2024 Q3 338,879,200 $15,543,849,667 -$1,676,875,198 $45.86 1,284
2024 Q2 379,191,982 $16,151,321,964 +$77,225,390 $42.59 1,258
2024 Q1 377,603,567 $15,516,214,793 -$418,239,896 $41.08 1,270
2023 Q4 1,439,779 $57,929,267 +$3,863,898 $40.21 24
2023 Q3 394,147,344 $14,972,033,017 -$1,904,251,160 $37.95 1,248
2023 Q2 426,486,496 $16,883,830,008 -$2,344,351,626 $39.56 1,293
2023 Q1 493,319,148 $19,463,916,801 +$933,294,616 $39.46 1,286
2022 Q4 464,480,973 $17,607,821,938 -$606,185,450 $37.90 1,284
2022 Q3 494,971,415 $17,313,700,752 -$1,135,237,536 $34.88 1,184
2022 Q2 513,206,321 $20,581,105,987 +$1,047,702,267 $40.10 1,252
2022 Q1 495,378,760 $22,364,270,325 +$1,719,500,004 $45.15 1,273
2021 Q4 454,579,315 $22,209,013,332 -$181,676,026 $48.85 1,367
2021 Q3 449,809,914 $22,669,007,842 +$1,731,733,747 $50.38 1,254
2021 Q2 409,783,840 $22,589,615,585 -$1,646,098,693 $55.15 1,311
2021 Q1 415,758,337 $22,179,442,372 -$2,050,513,423 $53.34 1,328
2020 Q4 497,083,174 $25,675,980,840 +$2,805,627,568 $51.67 1,289
2020 Q3 419,355,541 $18,478,443,922 +$788,465,408 $44.09 1,128
2020 Q2 404,260,574 $16,178,180,831 -$1,480,699,602 $39.99 1,095
2020 Q1 442,751,375 $15,115,901,674 -$1,981,013,290 $34.13 1,118
2019 Q4 501,033,325 $22,478,001,753 +$1,571,360,904 $44.87 1,296
2019 Q3 462,578,347 $18,902,727,540 -$3,587,907,320 $40.87 1,140
2019 Q2 544,640,470 $23,359,484,571 -$1,319,577,982 $42.91 1,183
2019 Q1 583,143,427 $25,020,108,304 +$2,787,399,745 $42.92 1,208
2018 Q4 506,570,620 $19,777,789,783 +$1,028,205,976 $39.06 1,183
2018 Q3 491,304,232 $21,038,660,969 +$882,946,051 $42.92 1,095
2018 Q2 472,322,938 $20,453,803,156 -$4,438,380,929 $43.33 1,078
2018 Q1 566,864,138 $27,314,185,310 +$607,303,324 $48.28 1,135
2017 Q4 536,771,139 $25,258,931,750 -$2,429,522,312 $47.12 1,106
2017 Q3 581,195,803 $26,041,106,215 +$3,239,510,530 $44.81 985
2017 Q2 495,009,151 $20,487,343,921 -$1,197,487,799 $41.39 928
2017 Q1 539,836,081 $21,263,434,535 +$1,125,869,396 $39.39 903
2016 Q4 528,608,946 $18,522,633,746 -$2,013,948,366 $35.01 854
2016 Q3 582,165,827 $21,802,613,233 +$5,241,343,987 $37.45 843
2016 Q2 443,719,233 $15,244,366,222 -$2,723,140,135 $34.36 802
2016 Q1 510,503,206 $17,466,186,702 +$2,077,308,925 $34.25 827
2015 Q4 466,410,238 $15,012,530,504 -$769,106,684 $32.19 828
2015 Q3 450,514,538 $14,765,469,396 -$1,092,892,319 $32.78 786
2015 Q2 486,937,045 $19,280,617,642 -$1,131,399,907 $39.62 834
2015 Q1 519,938,256 $20,866,454,240 -$2,670,399,059 $40.13 828
2014 Q4 585,733,590 $23,027,391,389 -$4,282,637,662 $39.29 835
2014 Q3 685,100,406 $28,478,039,304 +$1,260,651,720 $41.56 792
2014 Q2 700,871,254 $30,294,572,946 +$3,035,601,315 $43.23 804
2014 Q1 568,714,881 $23,323,490,139 -$1,362,219,702 $41.01 793