ISHARES TR - S&P SML 600 GWT (IJT)

Historical Holders from Q1 2014 to Q1 2025

Symbol
IJT
CUSIP
464287887
Type / Class
Equity / S&P SML 600 GWT
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
28.2M
Holdings value
$3.82B
% of all portfolios
0.02%
Grand Portfolio weight change
+0%
Number of holders
741
Number of buys
282
Number of sells
-256
Average Value change %
+0%
Average buys %
+0.003%
Average sells %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - S&P SML 600 GWT (IJT)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 1.85M $230M -$14.3M $124.50 162
2024 Q4 28.2M $3.82B +$134M $135.37 741
2024 Q3 26.8M $3.74B +$95.9M $139.49 692
2024 Q2 26.2M $3.36B +$49.3M $128.43 676
2024 Q1 26M $3.39B +$63.2M $130.73 672
2023 Q4 25.3M $3.16B -$27.3M $125.14 652
2023 Q3 25.4M $2.79B -$51.8M $109.68 603
2023 Q2 25.8M $2.97B -$114M $114.93 613
2023 Q1 25.5M $2.81B -$228M $109.94 608
2022 Q4 33.8M $3.75B +$181M $108.07 622
2022 Q3 26.8M $2.73B +$41.6M $101.67 585
2022 Q2 23.7M $2.5B +$18.2M $105.32 597
2022 Q1 24.2M $3.03B -$34.6M $125.10 618
2021 Q4 25.8M $3.58B -$201M $138.80 639
2021 Q3 26.9M $3.5B -$16M $130.04 583
2021 Q2 26.3M $3.48B +$39.5M $132.63 589
2021 Q1 27M $3.45B +$166M $128.23 584
2020 Q4 24.7M $2.82B +$1.35B $114.18 538
2020 Q3 12.7M $2.25B -$271M $176.44 456
2020 Q2 14.4M $2.44B -$9.43M $169.79 458
2020 Q1 12.7M $1.75B -$166M $137.86 437
2019 Q4 13.4M $2.59B -$21.7M $193.30 527
2019 Q3 14.1M $2.52B -$168M $178.38 459
2019 Q2 15M $2.74B -$109M $182.48 461
2019 Q1 17.4M $3.1B -$124M $178.46 468
2018 Q4 18.1M $2.91B -$224M $161.33 462
2018 Q3 18.8M $3.78B +$282M $201.74 484
2018 Q2 17.6M $3.32B +$364M $188.96 454
2018 Q1 15.7M $2.74B +$10.1M $173.85 427
2017 Q4 15.7M $2.67B +$112M $170.15 406
2017 Q3 14.8M $2.42B -$1.69M $164.49 354
2017 Q2 14.8M $2.3B +$27.9M $155.95 347
2017 Q1 14.5M $2.23B +$113M $153.08 349
2016 Q4 13.8M $2.08B +$65.1M $150.00 333
2016 Q3 13.1M $1.79B -$22M $137.12 300
2016 Q2 13.3M $1.71B -$118M $128.41 284
2016 Q1 14.1M $1.75B -$224M $124.20 274
2015 Q4 16M $1.97B +$68.5M $124.31 282
2015 Q3 15.3M $1.84B +$106M $120.13 271
2015 Q2 14.4M $1.89B -$41.9M $131.00 255
2015 Q1 14.7M $1.92B +$234M $130.15 253
2014 Q4 13M $1.59B +$101M $122.39 241
2014 Q3 10.2M $1.15B +$96.6M $112.56 205
2014 Q2 10.1M $1.22B -$16.3M $120.79 209
2014 Q1 11.6M $1.38B -$90M $118.98 216