ISHARES TR - U.S. FIN SVC ETF (IYG)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / U.S. FIN SVC ETF
Symbol
IYG
Price per share
$92.25
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
13,452,077
Total reported value
$1,203,727,648
% of total 13F portfolios
0%
Share change
+399,475
Value change
+$35,428,908
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
250
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - U.S. FIN SVC ETF (IYG) has 250 institutional shareholders filing 13F forms. They hold 13,452,077 shares. .

Institutional Holders of ISHARES TR - U.S. FIN SVC ETF (IYG) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 728,334 $67,228,146 +$64,487,407 9,225% 13
2025 Q3 13,452,077 $1,203,727,648 +$35,428,908 8,964% 250
2025 Q2 13,092,939 $1,120,998,206 -$18,105,537 8,560% 246
2025 Q1 13,407,940 $1,051,119,694 +$72,455,898 7,855% 250
2024 Q4 12,388,958 $964,170,687 +$9,690,842 7,781% 247
2024 Q3 12,307,338 $874,952,644 -$8,515,527 7,102% 229
2024 Q2 12,362,375 $806,589,529 +$9,088,355 6,521% 228
2024 Q1 12,223,059 $810,181,095 +$479,740,797 6,630% 220
2023 Q4 3,829,251 $685,999,849 -$66,294,442 17,921% 214
2023 Q3 4,548,217 $703,735,520 +$46,383,738 15,464.01% 193
2023 Q2 4,288,192 $677,828,566 +$12,896,960 15,799% 196
2023 Q1 4,274,090 $645,215,018 -$65,404,454 15,096% 205
2022 Q4 4,309,077 $678,656,070 -$61,967,766 15,752% 226
2022 Q3 4,847,618 $694,700,012 +$4,967,794 14,123.98% 210
2022 Q2 4,765,675 $706,528,144 -$567,585,298 14,821.94% 223
2022 Q1 8,982,254 $1,619,102,365 -$111,589,210 18,032.66% 256
2021 Q4 9,483,481 $1,829,843,776 -$77,449,922 19,307.96% 266
2021 Q3 9,344,954 $1,760,703,971 +$26,763,889 18,818% 239
2021 Q2 9,247,542 $1,712,885,650 +$714,577,588 18,523.09% 230
2021 Q1 5,322,572 $911,984,678 +$107,203,046 17,126.88% 208
2020 Q4 4,754,765 $713,694,140 -$918,731,728 15,005.05% 198
2020 Q3 11,182,402 $1,364,999,936 +$59,555,375 12,201.98% 212
2020 Q2 10,702,206 $1,277,694,361 +$681,817,261 11,939.77% 209
2020 Q1 3,911,347 $401,443,335 -$53,903,812 10,267.05% 133
2019 Q4 4,969,758 $754,648,005 +$67,909,602 15,181.82% 151
2019 Q3 4,952,916 $675,918,576 -$18,549,205 13,643.14% 138
2019 Q2 5,104,553 $683,425,950 -$176,361,536 13,388.86% 141
2019 Q1 6,396,537 $798,299,517 -$149,946,503 12,480.1% 149
2018 Q4 7,520,092 $844,695,529 -$2,764,888 11,226.81% 141
2018 Q3 7,248,622 $966,139,152 -$14,150,131 13,328.99% 141
2018 Q2 7,391,265 $958,250,947 -$23,884,195 12,961.97% 137
2018 Q1 7,573,859 $991,733,754 +$28,307,107 13,095.49% 142
2017 Q4 7,409,622 $966,576,828 -$38,646,121 13,045% 136
2017 Q3 7,209,947 $864,217,768 +$185,479,486 11,985.93% 110
2017 Q2 5,671,034 $642,801,612 -$25,998,438 11,337.13% 112
2017 Q1 5,913,414 $645,093,225 +$169,166,929 10,909.97% 114
2016 Q4 4,363,789 $458,625,000 +$152,507,741 10,625.63% 104
2016 Q3 2,912,960 $255,722,323 -$7,821,513 8,776.19% 72
2016 Q2 2,618,911 $211,059,836 +$1,676,413 8,061.03% 67
2016 Q1 3,062,531 $248,364,868 -$149,759,333 8,114% 70
2015 Q4 4,848,877 $435,906,524 -$992,021 8,997.87% 82
2015 Q3 4,599,149 $393,287,564 +$75,493,839 8,547.97% 81
2015 Q2 3,646,998 $342,785,501 +$66,405,339 9,400.03% 78
2015 Q1 2,953,186 $264,246,318 -$86,487,703 8,947.81% 66
2014 Q4 3,946,341 $362,371,491 +$54,997,626 9,182.99% 69
2014 Q3 2,687,913 $231,372,307 +$17,363,816 8,610.92% 72
2014 Q2 3,186,906 $269,071,752 -$81,475,710 8,442.79% 68
2014 Q1 4,178,308 $354,549,993 +$17,843,031 8,489.02% 72