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

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / S&P SML 600 GWT
Symbol
IJT
Price per share
$141.16
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
26,895,128
Total reported value
$3,804,952,286
% of total 13F portfolios
0.02%
Share change
-317,233
Value change
-$42,453,690
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
718
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - S&P SML 600 GWT (IJT) has 718 institutional shareholders filing 13F forms. They hold 26,895,128 shares. .

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 275,329 $39,071,693 +$2,821,770 14,116% 33
2025 Q3 26,895,128 $3,804,952,286 -$42,453,690 14,150% 718
2025 Q2 27,400,463 $3,646,805,425 -$58,015,739 13,304% 723
2025 Q1 27,855,287 $3,467,367,134 -$54,341,892 12,450% 711
2024 Q4 28,204,978 $3,820,098,816 +$134,007,189 13,537% 741
2024 Q3 26,833,708 $3,741,511,374 +$95,919,624 13,949% 692
2024 Q2 26,162,896 $3,361,625,413 +$49,338,016 12,843% 676
2024 Q1 25,973,537 $3,394,554,923 +$63,200,750 13,073% 672
2023 Q4 111,246 $13,921,346 +$1,152,915 12,514% 7
2023 Q3 25,385,965 $2,788,115,215 -$51,819,414 10,968% 603
2023 Q2 25,840,716 $2,968,303,417 -$113,911,627 11,493% 613
2023 Q1 25,531,905 $2,805,781,753 -$227,723,416 10,994% 608
2022 Q4 33,795,601 $3,751,582,097 +$181,398,453 10,807% 622
2022 Q3 26,821,010 $2,728,964,866 +$41,575,809 10,167.02% 585
2022 Q2 23,716,889 $2,502,934,675 +$18,224,453 10,531.91% 597
2022 Q1 24,187,748 $3,025,526,288 -$34,590,254 12,509.97% 618
2021 Q4 25,816,994 $3,578,962,552 -$200,990,365 13,879.71% 639
2021 Q3 26,932,190 $3,503,890,756 -$15,973,946 13,004% 583
2021 Q2 26,262,712 $3,481,884,893 +$39,453,668 13,263% 589
2021 Q1 26,955,257 $3,453,979,517 +$166,005,744 12,822.95% 584
2020 Q4 24,658,910 $2,818,360,393 +$1,348,961,516 11,417.97% 538
2020 Q3 12,728,389 $2,245,641,168 -$270,766,206 17,643.77% 456
2020 Q2 14,354,217 $2,439,156,239 -$9,429,118 16,979.1% 458
2020 Q1 12,699,607 $1,748,487,024 -$166,038,188 13,785.82% 437
2019 Q4 13,381,140 $2,587,277,523 -$21,725,615 19,329.86% 527
2019 Q3 14,129,771 $2,520,438,301 -$168,434,899 17,838.03% 459
2019 Q2 15,015,091 $2,738,306,287 -$108,675,548 18,248.05% 461
2019 Q1 17,379,981 $3,100,880,051 -$123,692,274 17,845.97% 468
2018 Q4 18,050,240 $2,914,336,548 -$223,944,211 16,132.94% 462
2018 Q3 18,757,846 $3,780,554,970 +$281,708,493 20,173.68% 484
2018 Q2 17,578,219 $3,322,117,089 +$363,998,001 18,896% 454
2018 Q1 15,741,762 $2,737,246,127 +$10,081,237 17,384.91% 427
2017 Q4 15,687,503 $2,670,946,755 +$111,565,551 17,015.13% 406
2017 Q3 14,750,019 $2,424,255,749 -$1,686,226 16,448.98% 354
2017 Q2 14,775,422 $2,302,709,741 +$27,904,514 15,594.81% 347
2017 Q1 14,546,331 $2,226,073,668 +$112,560,895 15,307.89% 349
2016 Q4 13,846,324 $2,076,169,106 +$65,077,236 15,000% 333
2016 Q3 13,086,582 $1,793,016,137 -$21,965,967 13,711.99% 300
2016 Q2 13,287,802 $1,706,475,877 -$117,758,138 12,840.87% 284
2016 Q1 14,074,457 $1,747,761,194 -$224,380,526 12,419.83% 274
2015 Q4 16,000,969 $1,969,894,039 +$68,479,261 12,430.98% 282
2015 Q3 15,250,841 $1,838,004,921 +$106,361,179 12,012.79% 271
2015 Q2 14,447,983 $1,891,977,502 -$41,931,137 13,099.91% 255
2015 Q1 14,737,403 $1,916,261,628 +$233,567,677 13,015% 253
2014 Q4 12,958,377 $1,587,336,097 +$100,764,668 12,238.71% 241
2014 Q3 10,247,847 $1,153,071,589 +$96,608,571 11,255.99% 205
2014 Q2 10,097,857 $1,219,561,455 -$16,272,091 12,078.99% 209
2014 Q1 11,629,440 $1,383,268,597 -$89,984,809 11,897.81% 216