ISHARES TR - ISHARES SEMICDTR (SOXX)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / ISHARES SEMICDTR
Symbol
SOXX
Price per share
$301.15
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
24,995,485
Total reported value
$6,773,915,581
% of total 13F portfolios
0.02%
Share change
-4,281,750
Value change
-$1,132,653,548
Avg buy value change
+0.01%
Avg sell value change
-0%
Number of holders
776
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - ISHARES SEMICDTR (SOXX) has 776 institutional shareholders filing 13F forms. They hold 24,995,485 shares. .

Institutional Holders of ISHARES TR - ISHARES SEMICDTR (SOXX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 235,164 $72,170,012 -$22,565,907 30,115.06% 42
2025 Q3 24,995,485 $6,773,915,581 -$1,132,653,548 27,112% 776
2025 Q2 30,781,817 $7,355,464,680 +$1,178,531,005 23,870% 741
2025 Q1 24,244,920 $4,561,940,960 -$861,151,624 18,817% 704
2024 Q4 28,144,612 $6,068,679,099 +$146,564,720 21,549.01% 746
2024 Q3 27,263,288 $6,287,134,056 +$654,059,832 23,059% 728
2024 Q2 26,540,812 $6,541,315,242 +$413,906,187 24,663% 732
2024 Q1 25,050,737 $5,659,541,348 +$3,352,311,707 22,592% 681
2023 Q4 20,085 $11,571,068 -$55,589,587 57,610.09% 5
2023 Q3 7,181,846 $3,403,946,509 +$406,079,061 47,365.02% 517
2023 Q2 5,785,161 $2,935,559,442 -$157,573,701 50,726% 513
2023 Q1 6,621,130 $2,943,363,383 -$138,060,520 44,467% 488
2022 Q4 7,160,848 $2,492,427,253 +$6,263,425 34,798% 450
2022 Q3 7,125,208 $2,270,693,049 -$11,448,030 31,873% 396
2022 Q2 7,199,770 $2,519,856,217 +$16,001,466 34,960.78% 431
2022 Q1 6,890,538 $3,257,587,270 -$377,613,786 47,327.91% 458
2021 Q4 7,590,097 $4,110,749,761 +$671,384,468 54,232% 459
2021 Q3 6,232,108 $2,780,117,440 -$99,060,733 44,587.28% 375
2021 Q2 6,378,674 $2,896,478,871 -$129,924,745 45,421.7% 368
2021 Q1 6,999,305 $2,967,625,223 +$26,501,113 42,399.04% 364
2020 Q4 6,572,055 $2,490,867,268 -$228,180,828 37,917.77% 322
2020 Q3 7,180,250 $2,187,216,423 +$174,376,392 30,460.9% 267
2020 Q2 6,784,269 $1,837,282,842 +$160,612,948 27,087% 244
2020 Q1 6,169,872 $1,266,455,476 -$204,816,554 20,521.01% 210
2019 Q4 6,680,268 $1,677,560,278 -$132,762,649 25,109.88% 220
2019 Q3 6,991,322 $1,479,229,601 -$100,573,615 21,140.7% 177
2019 Q2 7,714,534 $1,530,634,634 +$380,944,073 19,840.93% 169
2019 Q1 5,967,216 $1,130,863,045 -$259,666,886 18,953.99% 155
2018 Q4 6,949,518 $1,091,194,989 -$125,184,892 15,691.02% 149
2018 Q3 7,975,989 $1,475,636,707 +$275,734,141 18,504.98% 147
2018 Q2 6,349,482 $1,131,818,124 +$3,791,508 17,824% 148
2018 Q1 6,240,666 $1,123,100,418 -$34,506,909 18,004.69% 144
2017 Q4 6,487,600 $1,101,760,770 -$29,985,319 16,981% 136
2017 Q3 6,567,726 $1,041,548,881 -$35,056,077 15,856.87% 108
2017 Q2 6,812,007 $954,990,107 -$31,884,680 14,020% 109
2017 Q1 7,038,696 $963,387,268 -$63,340,121 13,688.89% 103
2016 Q4 7,515,838 $921,960,882 +$92,913,595 12,271.94% 97
2016 Q3 6,762,095 $763,923,960 +$98,375,921 11,298.95% 80
2016 Q2 6,058,558 $567,294,474 +$128,705,734 9,364% 62
2016 Q1 4,648,193 $425,832,995 -$96,046,211 9,161.94% 58
2015 Q4 5,719,402 $513,793,360 -$61,729,767 8,983.9% 56
2015 Q3 6,386,422 $520,611,485 +$42,024,363 8,145.94% 51
2015 Q2 5,847,204 $538,473,787 +$83,284,717 9,208.76% 59
2015 Q1 4,942,049 $464,564,721 -$89,667,743 9,402.03% 64
2014 Q4 5,903,498 $548,520,731 +$117,414,670 9,289.03% 66
2014 Q3 2,661,160 $230,928,383 +$17,541,447 8,685% 62
2014 Q2 2,462,633 $212,737,758 -$51,377,733 8,639.87% 60
2014 Q1 3,072,944 $244,854,730 +$6,727,566 7,968.96% 53