ISHARES TR - MSCI ACWI ETF (ACWI) Institutional Ownership

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

Type / Class
Equity / MSCI ACWI ETF
Symbol
ACWI
Price per share
$141.49
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
68,917,588
Total reported value
$9,525,755,556
% of total 13F portfolios
0.06%
Share change
-1,400,357
Value change
-$150,798,863
Number of holders
748
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 748 institutional investors reported holding 68,917,588 shares of ISHARES TR - MSCI ACWI ETF (ACWI).

Institutional Holders of ISHARES TR - MSCI ACWI ETF (ACWI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 1,450,221 $206,706,089 +$11,689,886 $141.49 45
2025 Q3 68,917,588 $9,525,755,556 -$150,798,863 $138.24 748
2025 Q2 71,862,413 $9,238,174,511 -$317,095,115 $128.60 707
2025 Q1 74,839,065 $8,710,549,566 -$472,667,092 $116.39 671
2024 Q4 79,249,381 $9,310,571,834 +$36,970,323 $117.50 707
2024 Q3 78,698,498 $9,407,603,514 -$1,365,427,316 $119.55 667
2024 Q2 93,363,362 $10,467,611,441 -$1,009,209,184 $112.40 673
2024 Q1 99,059,583 $10,907,376,039 -$1,076,771,595 $110.13 652
2023 Q4 280,925 $28,589,626 -$1,437,405 $101.77 8
2023 Q3 84,162,238 $7,787,946,755 -$151,214,263 $92.37 590
2023 Q2 97,701,511 $9,371,138,290 -$543,895,371 $95.94 586
2023 Q1 103,454,018 $9,427,437,973 -$474,868,535 $91.16 583
2022 Q4 109,093,225 $9,258,978,326 +$2,554,264,013 $84.88 585
2022 Q3 73,819,248 $5,751,287,581 -$1,250,548,040 $77.83 533
2022 Q2 89,371,361 $7,503,644,074 +$215,335,300 $83.89 551
2022 Q1 85,750,711 $8,555,795,432 -$812,817,386 $99.78 551
2021 Q4 89,425,227 $9,455,376,227 +$848,967,314 $105.78 552
2021 Q3 83,246,923 $8,330,100,866 +$6,570,061 $99.92 503
2021 Q2 87,488,921 $8,852,324,958 +$655,517,664 $101.19 510
2021 Q1 85,829,239 $8,088,933,822 -$415,086,785 $95.15 492
2020 Q4 81,253,219 $7,281,651,920 -$128,112,332 $90.72 495
2020 Q3 82,967,931 $6,542,339,330 +$103,826,556 $79.92 435
2020 Q2 82,883,118 $6,109,030,042 -$1,146,920,606 $73.72 431
2020 Q1 93,916,923 $5,877,021,774 +$2,215,538,362 $62.57 438
2019 Q4 56,800,363 $4,380,204,824 -$20,181,890 $79.25 454
2019 Q3 56,113,511 $3,959,105,890 -$102,456,106 $73.75 413
2019 Q2 53,933,213 $3,975,445,283 +$332,629,413 $73.71 394
2019 Q1 49,326,195 $3,559,473,948 -$1,833,909,608 $72.15 381
2018 Q4 75,244,559 $4,831,473,399 +$1,940,038,250 $64.16 385
2018 Q3 41,559,120 $3,085,742,852 +$188,209,022 $74.26 326
2018 Q2 41,175,368 $2,929,680,142 +$248,629,565 $71.12 310
2018 Q1 36,822,249 $2,630,182,789 -$837,582,148 $71.70 316
2017 Q4 47,501,563 $3,394,675,419 +$296,710,337 $72.09 315
2017 Q3 42,607,534 $2,933,407,011 +$303,067,109 $68.82 245
2017 Q2 37,411,613 $2,449,986,488 +$164,209,749 $65.49 236
2017 Q1 36,158,873 $2,287,347,252 +$23,777,056 $63.26 246
2016 Q4 36,562,317 $2,163,443,448 +$393,615,226 $59.17 230
2016 Q3 28,559,375 $1,687,576,040 -$144,785,001 $59.10 213
2016 Q2 31,262,310 $1,757,864,328 +$84,256,111 $56.23 205
2016 Q1 29,806,449 $1,645,607,349 -$764,674,470 $56.06 195
2015 Q4 43,117,635 $2,406,056,259 +$443,830,392 $55.82 211
2015 Q3 35,153,767 $1,899,086,564 +$492,062,662 $53.94 172
2015 Q2 25,374,455 $1,508,453,331 +$210,980,497 $59.45 181
2015 Q1 20,719,861 $1,243,829,946 -$472,781,092 $60.02 166
2014 Q4 28,958,502 $1,694,090,328 +$354,026,295 $58.50 172
2014 Q3 21,966,447 $1,293,456,791 +$43,761,602 $58.90 136
2014 Q2 21,346,646 $1,286,238,475 +$128,059,965 $60.26 134
2014 Q1 19,270,822 $1,120,324,988 -$202,939,580 $58.14 135