ISHARES TR - ISHARES SEMICDTR (SOXX)

Historical Holders from Q1 2014 to Q1 2025

Symbol
SOXX
CUSIP
464287523
Type / Class
Equity / ISHARES SEMICDTR
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
27.9M
Holdings value
$6.01B
% of all portfolios
0.02%
Grand Portfolio weight change
+0%
Number of holders
749
Number of buys
334
Number of sells
-318
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - ISHARES SEMICDTR (SOXX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 1.7M $319M -$36.3M $188.17 152
2024 Q4 27.9M $6.01B +$93.2M $215.49 749
2024 Q3 27.3M $6.29B +$654M $230.59 728
2024 Q2 26.5M $6.54B +$414M $246.63 732
2024 Q1 25.1M $5.66B +$3.35B $225.92 681
2023 Q4 6.87M $3.96B +$92.6M $576.10 614
2023 Q3 7.18M $3.4B +$406M $473.65 517
2023 Q2 5.79M $2.94B -$158M $507.26 513
2023 Q1 6.62M $2.94B -$138M $444.67 488
2022 Q4 7.16M $2.49B +$6.26M $347.98 450
2022 Q3 7.13M $2.27B -$11.4M $318.73 396
2022 Q2 7.2M $2.52B +$16M $349.61 431
2022 Q1 6.89M $3.26B -$378M $473.28 458
2021 Q4 7.59M $4.11B +$671M $542.32 459
2021 Q3 6.23M $2.78B -$99.1M $445.87 375
2021 Q2 6.38M $2.9B -$130M $454.22 368
2021 Q1 7M $2.97B +$26.5M $423.99 364
2020 Q4 6.57M $2.49B -$228M $379.18 322
2020 Q3 7.18M $2.19B +$174M $304.61 267
2020 Q2 6.78M $1.84B +$161M $270.87 244
2020 Q1 6.17M $1.27B -$205M $205.21 210
2019 Q4 6.68M $1.68B -$133M $251.10 220
2019 Q3 6.99M $1.48B -$101M $211.41 177
2019 Q2 7.71M $1.53B +$381M $198.41 169
2019 Q1 5.97M $1.13B -$260M $189.54 155
2018 Q4 6.95M $1.09B -$125M $156.91 149
2018 Q3 7.98M $1.48B +$276M $185.05 147
2018 Q2 6.35M $1.13B +$3.79M $178.24 148
2018 Q1 6.24M $1.12B -$34.5M $180.05 144
2017 Q4 6.49M $1.1B -$30M $169.81 136
2017 Q3 6.57M $1.04B -$35.1M $158.57 108
2017 Q2 6.81M $955M -$31.9M $140.20 109
2017 Q1 7.04M $963M -$63.3M $136.89 103
2016 Q4 7.52M $922M +$92.9M $122.72 97
2016 Q3 6.76M $764M +$98.4M $112.99 80
2016 Q2 6.06M $567M +$129M $93.64 62
2016 Q1 4.65M $426M -$96M $91.62 58
2015 Q4 5.72M $514M -$61.7M $89.84 56
2015 Q3 6.39M $521M +$42M $81.46 51
2015 Q2 5.85M $538M +$83.3M $92.09 59
2015 Q1 4.94M $465M -$89.7M $94.02 64
2014 Q4 5.9M $549M +$117M $92.89 66
2014 Q3 2.66M $231M +$17.5M $86.85 62
2014 Q2 2.46M $213M -$51.4M $86.40 60
2014 Q1 3.07M $245M +$6.73M $79.69 53