ISHARES TR - US AER DEF ETF (ITA)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / US AER DEF ETF
Symbol
ITA
Price per share
$214.69
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
32,934,812
Total reported value
$6,888,720,429
% of total 13F portfolios
0.03%
Share change
+13,074,705
Value change
+$2,741,556,875
Avg buy value change
+0.01%
Avg sell value change
-0%
Number of holders
867
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - US AER DEF ETF (ITA) has 867 institutional shareholders filing 13F forms. They hold 32,934,812 shares. .

Institutional Holders of ISHARES TR - US AER DEF ETF (ITA) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 989,493 $215,186,069 +$34,314,211 21,469% 49
2025 Q3 32,934,812 $6,888,720,429 +$2,741,556,875 20,926% 867
2025 Q2 19,671,913 $3,709,598,226 +$241,535,281 18,864% 743
2025 Q1 17,958,175 $2,749,109,755 -$172,542,877 15,310% 690
2024 Q4 18,959,746 $2,758,985,803 +$57,838,127 14,535% 682
2024 Q3 18,510,139 $2,768,538,363 -$805,932,094 14,964% 642
2024 Q2 23,962,509 $3,165,369,250 +$9,259,444 13,205% 608
2024 Q1 23,812,836 $3,140,913,031 -$127,416,591 13,193% 604
2023 Q4 99,360 $12,579,122 +$605,397 12,660% 9
2023 Q3 23,005,672 $2,438,621,477 -$306,081,743 10,597% 531
2023 Q2 25,561,913 $2,981,756,925 -$81,999,886 11,667% 544
2023 Q1 26,677,545 $3,070,010,830 +$884,307,457 11,508% 534
2022 Q4 18,968,230 $2,122,039,570 +$353,319,280 11,186% 501
2022 Q3 15,875,601 $1,448,912,902 -$55,435,910 9,119% 408
2022 Q2 14,691,785 $1,457,276,398 +$388,032,613 9,917.15% 411
2022 Q1 10,601,487 $1,174,475,459 +$500,626,997 11,078.82% 399
2021 Q4 6,309,686 $648,934,853 -$11,222,448 10,277.82% 342
2021 Q3 6,029,393 $628,733,354 -$42,634,091 10,424% 316
2021 Q2 6,464,251 $707,895,704 -$61,466,296 10,953.07% 321
2021 Q1 7,034,177 $732,587,733 -$114,195,345 10,410.62% 326
2020 Q4 8,144,129 $771,691,981 +$376,294,909 9,471.88% 338
2020 Q3 4,494,098 $712,139,815 -$109,101,266 15,841.09% 306
2020 Q2 5,200,049 $856,512,951 -$89,403,284 16,472.09% 326
2020 Q1 5,559,230 $799,830,526 -$385,615,757 14,385% 337
2019 Q4 8,164,069 $1,814,097,754 +$31,710,145 22,208.66% 410
2019 Q3 8,052,868 $1,809,086,839 +$145,534,610 22,469.74% 370
2019 Q2 7,419,331 $1,588,240,561 -$74,041,492 21,420.33% 367
2019 Q1 7,788,736 $1,554,427,994 -$395,658,093 19,958% 368
2018 Q4 9,638,129 $1,666,432,283 +$95,094,977 17,285.91% 361
2018 Q3 8,821,678 $1,908,544,833 +$151,676,355 21,643.04% 341
2018 Q2 8,186,006 $1,576,469,397 -$133,972,217 19,247.24% 317
2018 Q1 8,885,317 $1,757,873,408 +$89,259,210 19,795.99% 324
2017 Q4 8,528,259 $1,594,357,138 -$44,897,881 18,810.94% 300
2017 Q3 8,454,470 $1,498,231,959 +$303,004,610 17,803.83% 245
2017 Q2 6,551,862 $1,031,364,639 +$83,073,659 15,735.04% 195
2017 Q1 5,970,775 $887,905,776 +$197,881,823 14,871.63% 183
2016 Q4 4,704,016 $661,728,349 +$284,548,391 14,051.79% 156
2016 Q3 2,612,982 $336,916,511 -$52,168,786 12,906.01% 100
2016 Q2 3,036,710 $379,294,470 -$33,304,417 12,493.03% 95
2016 Q1 3,389,082 $396,335,715 +$95,332,691 11,689% 87
2015 Q4 2,611,447 $308,661,691 +$69,653,298 11,820.47% 82
2015 Q3 1,930,636 $210,742,279 +$13,394,072 10,902.24% 66
2015 Q2 1,796,943 $214,670,248 -$25,170,323 11,913.91% 64
2015 Q1 2,040,011 $252,464,780 +$103,810,151 12,377.54% 67
2014 Q4 1,208,803 $138,630,945 -$5,395,199 11,468.76% 58
2014 Q3 1,256,991 $135,125,856 -$85,871,334 10,757.62% 57
2014 Q2 2,053,806 $221,476,819 +$55,189,513 10,783.49% 59
2014 Q1 1,539,706 $168,076,511 +$58,051,424 10,916.2% 59