ISHARES TR - EMGR MKT INF ETF (EMIF) Institutional Ownership

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

Type / Class
Equity / EMGR MKT INF ETF
Symbol
EMIF
Price per share
$26.80
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
81,149
Total reported value
$2,076,204
% of total 13F portfolios
0%
Share change
+1,180
Value change
+$31,919
Number of holders
9
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 9 institutional investors reported holding 81,149 shares of ISHARES TR - EMGR MKT INF ETF (EMIF).

Institutional Holders of ISHARES TR - EMGR MKT INF ETF (EMIF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 20,740 $555,832 +$120,386 $26.80 1
2025 Q3 81,149 $2,076,204 +$31,919 $25.70 9
2025 Q2 79,969 $1,910,441 -$2,040,713 $23.89 9
2025 Q1 166,658 $3,523,263 +$137,606 $21.14 12
2024 Q4 160,333 $3,344,313 +$507,589 $20.82 12
2024 Q3 135,427 $3,117,210 +$499,886 $23.04 11
2024 Q2 113,597 $2,432,133 -$1,580,743 $21.41 9
2024 Q1 186,582 $4,083,936 +$471,066 $21.89 11
2023 Q4 165,419 $3,540,289 -$109,004 $21.40 12
2023 Q3 169,605 $3,500,634 -$835,052 $20.63 11
2023 Q2 208,802 $4,591,226 -$612,489 $21.99 13
2023 Q1 236,829 $5,059,690 +$1,806,217 $21.36 11
2022 Q4 152,275 $3,167,551 +$501,844 $20.79 10
2022 Q3 129,404 $2,455,000 +$299,938 $18.95 9
2022 Q2 113,603 $2,480,000 -$1,314,785 $21.82 8
2022 Q1 172,063 $3,958,000 +$1,149,678 $23.01 8
2021 Q4 121,356 $2,972,000 -$615,762 $24.49 9
2021 Q3 145,798 $3,647,000 +$173,726 $25.02 13
2021 Q2 138,889 $3,392,000 +$37,039 $24.42 12
2021 Q1 137,213 $3,398,000 -$835,958 $24.75 12
2020 Q4 171,979 $4,220,000 -$52,486 $24.54 11
2020 Q3 178,782 $3,712,000 +$2,729,861 $20.77 12
2020 Q2 46,330 $1,002,083 +$19,916 $21.63 10
2020 Q1 44,211 $871,000 -$2,811,331 $19.72 9
2019 Q4 168,301 $5,301,000 -$1,153,647 $31.49 16
2019 Q3 205,711 $5,762,000 -$2,305,671 $28.03 14
2019 Q2 288,350 $8,322,000 +$1,190,247 $28.97 14
2019 Q1 247,148 $7,079,924 -$1,537,144 $28.63 17
2018 Q4 301,189 $8,337,000 -$2,188,030 $27.68 14
2018 Q3 405,361 $11,555,000 +$756,718 $28.49 17
2018 Q2 353,478 $9,940,000 -$983,214 $28.10 16
2018 Q1 387,195 $12,512,000 -$593,375 $32.31 15
2017 Q4 404,653 $13,313,000 -$793,552 $32.90 16
2017 Q3 426,697 $14,420,000 +$1,774,556 $33.78 18
2017 Q2 393,790 $12,618,000 +$140,971 $32.04 19
2017 Q1 389,758 $12,363,000 +$356,746 $31.72 21
2016 Q4 381,113 $10,673,000 -$201,561 $28.07 23
2016 Q3 389,402 $11,948,000 -$226,214 $30.65 24
2016 Q2 397,571 $11,833,000 -$2,058,589 $29.78 21
2016 Q1 465,781 $13,691,000 -$4,173,356 $29.54 21
2015 Q4 610,006 $16,625,000 +$552,964 $27.26 25
2015 Q3 560,713 $15,308,000 -$10,625,989 $27.28 21
2015 Q2 949,308 $31,517,458 +$11,270,896 $33.20 21
2015 Q1 609,622 $20,028,612 -$3,903,095 $32.86 21
2014 Q4 729,975 $23,659,990 -$7,156,405 $32.41 22
2014 Q3 892,094 $30,743,219 -$4,204,785 $34.46 24
2014 Q2 1,036,671 $36,620,913 -$4,219,033 $35.31 28
2014 Q1 1,075,875 $36,048,687 -$12,972,108 $33.50 26