ISHARES TR - SP SMCP600VL ETF (IJS)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / SP SMCP600VL ETF
Symbol
IJS
Price per share
$113.72
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
35,234,628
Total reported value
$3,896,592,877
% of total 13F portfolios
0.02%
Share change
-215,523
Value change
-$18,047,307
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
779
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - SP SMCP600VL ETF (IJS) has 779 institutional shareholders filing 13F forms. They hold 35,234,628 shares. .

Institutional Holders of ISHARES TR - SP SMCP600VL ETF (IJS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 773,969 $89,169,643 +$317,586 11,372% 41
2025 Q3 35,234,628 $3,896,592,877 -$18,047,307 11,059% 779
2025 Q2 36,060,626 $3,590,320,394 -$364,497,546 9,949% 770
2025 Q1 39,686,387 $3,867,116,559 -$83,247,224 9,748% 791
2024 Q4 40,395,451 $4,386,865,203 -$18,910,808 10,861% 810
2024 Q3 40,147,828 $4,315,277,964 +$125,498,768 10,766% 763
2024 Q2 38,944,026 $3,788,766,840 -$297,651,405 9,727% 723
2024 Q1 42,163,968 $4,331,150,632 -$923,074,573 10,276% 749
2023 Q4 207,213 $21,880,539 +$1,019,670 10,307% 13
2023 Q3 42,124,333 $3,758,109,269 -$102,914,540 8,922% 704
2023 Q2 43,098,630 $4,099,726,190 -$56,087,912 9,509% 719
2023 Q1 43,901,946 $4,108,077,364 -$55,742,026 9,359% 715
2022 Q4 44,538,447 $4,070,869,540 +$141,795,694 9,131% 709
2022 Q3 43,653,353 $3,604,507,260 -$1,554,007,156 8,245.03% 682
2022 Q2 61,058,229 $5,440,177,718 +$542,086,823 8,903% 770
2022 Q1 55,501,573 $5,688,377,631 -$90,885,979 10,238.97% 714
2021 Q4 56,649,751 $5,917,993,606 -$381,249,106 10,448.9% 694
2021 Q3 58,603,441 $5,842,829,820 -$680,276,069 10,067.1% 628
2021 Q2 65,212,165 $6,887,800,206 +$1,033,603,890 10,542.88% 668
2021 Q1 54,923,080 $5,525,379,224 +$542,725,115 10,074% 633
2020 Q4 49,578,934 $4,039,352,559 +$2,026,807,006 8,131.04% 557
2020 Q3 23,629,588 $2,871,779,799 -$9,684,952 12,241.96% 446
2020 Q2 23,935,710 $2,832,003,414 -$311,631,972 12,036.8% 460
2020 Q1 26,553,986 $2,632,649,491 -$61,165,175 9,993.99% 468
2019 Q4 26,272,144 $4,221,607,044 -$31,609,835 16,079.14% 545
2019 Q3 26,778,221 $4,022,148,278 +$257,404,661 15,018.99% 488
2019 Q2 24,986,766 $3,712,250,219 -$49,899,400 14,861.82% 473
2019 Q1 23,526,156 $3,471,400,004 +$92,807,691 14,753.9% 481
2018 Q4 24,470,984 $3,224,239,022 -$180,081,792 13,184.88% 457
2018 Q3 25,035,636 $4,176,634,544 +$831,627,058 16,692.93% 460
2018 Q2 20,150,241 $3,289,251,964 +$409,875,680 16,326.99% 439
2018 Q1 17,703,284 $2,670,834,961 -$41,203,486 15,083.99% 435
2017 Q4 17,975,417 $2,760,120,017 +$115,290,658 15,357.25% 428
2017 Q3 16,684,984 $2,473,552,792 +$11,356,061 14,830.96% 362
2017 Q2 16,563,130 $2,316,563,607 -$184,035,647 13,982% 348
2017 Q1 17,880,741 $2,477,670,755 +$40,323,669 13,864.82% 364
2016 Q4 17,634,429 $2,469,492,560 +$2,402,396 14,000.96% 357
2016 Q3 17,335,059 $2,160,651,261 +$22,508,360 12,480.7% 325
2016 Q2 17,278,447 $2,019,249,324 +$873,443 11,682.84% 308
2016 Q1 17,068,870 $1,932,635,558 +$92,161,754 11,331.96% 285
2015 Q4 16,285,304 $1,754,350,748 +$60,767,226 10,815.89% 278
2015 Q3 15,661,339 $1,642,503,747 -$36,237,172 10,478.97% 261
2015 Q2 15,977,906 $1,879,993,384 +$13,381,218 11,776.02% 256
2015 Q1 15,882,676 $1,887,836,990 +$167,030,880 11,890.93% 259
2014 Q4 14,456,325 $1,703,290,596 +$50,879,075 11,794.03% 265
2014 Q3 12,273,722 $1,316,260,964 +$26,083,589 10,729.06% 224
2014 Q2 13,896,253 $1,603,762,259 -$35,401,478 11,542.94% 233
2014 Q1 14,088,241 $1,597,901,605 +$36,949,230 11,344.89% 227