ISHARES TR - U.S. REAL ES ETF (IYR) Institutional Ownership

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

Type / Class
Equity / U.S. REAL ES ETF
Symbol
IYR
Price per share
$93.89
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
45,441,723
Total reported value
$4,410,260,683
% of total 13F portfolios
0.01%
Share change
-1,664,816
Value change
-$157,863,729
Number of holders
463
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 463 institutional investors reported holding 45,441,723 shares of ISHARES TR - U.S. REAL ES ETF (IYR).

Institutional Holders of ISHARES TR - U.S. REAL ES ETF (IYR) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 709,316 $66,645,359 +$7,949,609 $93.89 27
2025 Q3 45,441,723 $4,410,260,683 -$157,863,729 $97.08 463
2025 Q2 46,558,187 $4,411,028,775 +$387,399,292 $94.77 469
2025 Q1 42,375,669 $4,053,855,936 -$1,427,661,279 $95.75 475
2024 Q4 58,322,982 $5,426,308,192 +$90,057,031 $93.06 512
2024 Q3 57,374,623 $5,843,069,350 +$2,621,057,271 $101.87 507
2024 Q2 34,389,996 $3,017,398,780 -$1,812,129,229 $87.74 469
2024 Q1 51,871,531 $4,662,722,370 -$216,852,922 $89.90 473
2023 Q4 133,412 $12,220,595 +$4,967,310 $91.41 9
2023 Q3 39,059,862 $3,053,910,005 +$361,119,789 $78.14 449
2023 Q2 29,624,381 $2,563,026,619 -$1,150,117,125 $86.54 466
2023 Q1 42,548,596 $3,610,115,977 -$57,103,175 $84.90 482
2022 Q4 46,122,466 $3,885,610,950 -$251,987,191 $84.19 497
2022 Q3 49,087,026 $3,996,389,806 -$856,906,003 $81.42 479
2022 Q2 59,924,975 $5,508,244,553 +$347,454,693 $91.98 505
2022 Q1 54,853,556 $5,932,936,713 -$774,361,672 $108.22 524
2021 Q4 63,206,762 $7,335,954,039 -$1,013,684,946 $116.14 559
2021 Q3 65,041,210 $6,666,045,906 -$950,533,283 $102.39 487
2021 Q2 74,345,667 $7,583,321,423 +$3,364,990,425 $101.94 458
2021 Q1 48,481,535 $4,459,207,968 -$1,235,150,213 $91.94 425
2020 Q4 55,820,708 $4,778,295,279 +$2,057,853,965 $85.65 417
2020 Q3 36,451,162 $2,909,739,654 +$75,494,991 $79.84 386
2020 Q2 35,962,666 $2,833,069,327 -$386,370,628 $78.81 407
2020 Q1 41,121,729 $2,860,828,032 -$405,705,598 $69.57 434
2019 Q4 45,762,688 $4,258,823,339 -$81,172,788 $93.08 487
2019 Q3 46,634,512 $4,360,118,838 -$10,174,299,128 $93.54 441
2019 Q2 154,529,662 $4,261,097,990 +$206,844,838 $87.31 436
2019 Q1 46,969,285 $4,088,188,126 +$387,441,131 $87.04 441
2018 Q4 41,106,597 $3,086,618,245 -$1,515,272,007 $74.94 424
2018 Q3 62,989,144 $5,039,095,031 +$541,284,479 $80.02 385
2018 Q2 56,309,426 $4,535,980,946 +$184,393,347 $80.58 380
2018 Q1 55,099,594 $4,157,937,573 +$306,216,606 $75.47 359
2017 Q4 50,898,590 $4,122,804,916 +$14,053,108 $81.01 382
2017 Q3 50,494,273 $4,031,212,262 -$512,591,106 $79.88 356
2017 Q2 56,843,309 $4,534,235,516 -$429,015,300 $79.77 345
2017 Q1 62,262,980 $4,887,114,581 +$384,771,049 $78.49 341
2016 Q4 54,362,011 $4,180,701,908 -$182,033,163 $76.94 364
2016 Q3 60,827,661 $4,903,474,548 -$106,389,587 $80.64 345
2016 Q2 62,167,707 $5,119,731,903 -$72,929,214 $82.39 348
2016 Q1 63,081,150 $4,911,026,132 -$918,614,380 $77.86 327
2015 Q4 75,073,951 $5,630,349,144 -$708,570,949 $75.08 326
2015 Q3 83,905,367 $5,953,040,789 -$397,885,419 $70.95 303
2015 Q2 89,214,129 $6,361,852,053 -$481,862,676 $71.30 311
2015 Q1 95,678,409 $7,586,939,362 -$2,084,539,169 $79.32 344
2014 Q4 122,304,103 $9,398,868,836 -$930,543,502 $76.84 330
2014 Q3 136,106,625 $9,418,073,101 -$136,897,334 $69.20 289
2014 Q2 137,155,031 $9,841,916,274 -$509,632,302 $71.79 300
2014 Q1 144,095,835 $9,751,331,454 +$1,401,539,304 $67.67 294