ISHARES TR - U.S. TECH ETF (IYW)

Historical Holders from Q1 2014 to Q1 2025

Symbol
IYW
CUSIP
464287721
Type / Class
Equity / U.S. TECH ETF
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
79.6M
Holdings value
$12.7B
% of all portfolios
0.055%
Grand Portfolio weight change
0%
Number of holders
1121
Number of buys
410
Number of sells
-436
Average Value change %
-0.02%
Average buys %
+0.003%
Average sells %
-0.02%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - U.S. TECH ETF (IYW)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 7.79M $1.09B +$47.2M $140.44 264
2024 Q4 79.6M $12.7B -$169M $159.52 1,121
2024 Q3 79.4M $12B -$199M $151.62 1,061
2024 Q2 81.2M $12.2B +$461M $150.50 1,014
2024 Q1 77.7M $10.5B +$416M $135.06 961
2023 Q4 68.3M $8.39B +$1.64B $122.75 930
2023 Q3 59.6M $6.26B -$1.8B $104.92 816
2023 Q2 77.6M $8.45B +$382M $108.87 812
2023 Q1 67.4M $6.25B +$943M $92.81 737
2022 Q4 62.9M $4.69B +$2B $74.49 684
2022 Q3 34.5M $2.55B -$24.3M $73.37 570
2022 Q2 35.6M $2.86B -$397M $79.95 612
2022 Q1 37.5M $3.87B -$191M $103.04 676
2021 Q4 40M $4.58B +$406M $114.82 731
2021 Q3 35.2M $3.58B +$357M $101.26 630
2021 Q2 31.8M $3.16B -$128M $99.40 561
2021 Q1 33.5M $2.94B -$113M $87.70 548
2020 Q4 34.5M $2.94B +$2.09B $85.08 560
2020 Q3 9.05M $2.72B -$112M $301.07 495
2020 Q2 9.43M $2.55B -$20.4M $269.80 465
2020 Q1 9.33M $1.9B +$23.6M $204.39 414
2019 Q4 9.27M $2.17B +$160M $232.60 443
2019 Q3 8.53M $1.74B -$80.8M $204.21 374
2019 Q2 8.92M $1.76B -$25.2M $197.89 383
2019 Q1 9.03M $1.72B -$103M $190.60 366
2018 Q4 9.66M $1.55B +$1.22M $159.93 337
2018 Q3 9.39M $1.82B -$135M $194.02 331
2018 Q2 10.3M $1.84B -$257M $178.27 324
2018 Q1 11.8M $1.98B +$11.8M $168.21 329
2017 Q4 11.7M $1.9B -$112M $162.77 310
2017 Q3 12.3M $1.84B -$15.7M $149.92 273
2017 Q2 12.4M $1.73B +$44.7M $139.72 256
2017 Q1 12M $1.63B -$25.9M $135.16 251
2016 Q4 12.4M $1.49B +$160M $120.25 245
2016 Q3 11M $1.31B +$166M $119.00 228
2016 Q2 9.66M $1.02B -$76.5M $105.28 203
2016 Q1 10.3M $1.12B -$116M $108.50 214
2015 Q4 11.4M $1.22B +$51.7M $107.03 212
2015 Q3 10.8M $1.08B -$174M $98.90 205
2015 Q2 12.6M $1.32B -$126M $104.67 227
2015 Q1 11.8M $1.24B -$1.22B $104.96 231
2014 Q4 19.8M $2.07B +$266M $104.40 237
2014 Q3 21.2M $2.09B -$128M $100.76 209
2014 Q2 19M $1.84B +$173M $96.88 200
2014 Q1 22M $2.01B +$494M $91.06 193