ISHARES CMBS ETF - Common Stock (CMBS)

Historical Holders from Q1 2014 to Q1 2025

Symbol
CMBS
CUSIP
46429B366
Type / Class
Equity / Common Stock
Shares outstanding
9.2M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
4.97M
Holdings value
$235M
% of all portfolios
0.002%
Grand Portfolio weight change
0%
Number of holders
94
Number of buys
44
Number of sells
-29
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ISHARES CMBS ETF - Common Stock (CMBS)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 0.5% $2.21M 46K BlackRock, Inc. Dec 31, 2024

Institutional Holders of ISHARES CMBS ETF - Common Stock (CMBS)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 880K $42.3M -$2.86M $48.00 13
2024 Q4 4.97M $235M -$43.5M $47.20 94
2024 Q3 5.85M $286M +$26.3M $48.93 84
2024 Q2 5.24M $246M -$3.89M $46.95 81
2024 Q1 5.34M $251M +$23.1M $47.10 82
2023 Q4 4.79M $224M -$26.9M $46.79 73
2023 Q3 5.29M $238M +$87.4K $45.04 76
2023 Q2 5.25M $241M -$77.5M $45.86 78
2023 Q1 6.44M $297M +$3.9M $46.19 76
2022 Q4 6.37M $292M -$71.4M $45.91 69
2022 Q3 8.26M $379M -$59.1M $45.85 78
2022 Q2 9.52M $458M +$37.5M $48.11 84
2022 Q1 8.71M $434M -$75.8M $49.85 91
2021 Q4 10.2M $543M +$39.5M $53.03 101
2021 Q3 9.1M $492M +$49.5M $54.06 99
2021 Q2 8.19M $445M +$78.7M $54.38 93
2021 Q1 6.75M $363M +$95.5M $53.86 85
2020 Q4 4.96M $274M -$37.3M $55.33 60
2020 Q3 5.59M $311M +$41.6M $55.52 54
2020 Q2 4.86M $267M +$32.3M $54.92 57
2020 Q1 4.29M $230M +$28.2M $53.69 60
2019 Q4 3.78M $199M +$16.3M $52.79 52
2019 Q3 3.48M $186M -$4.02M $53.47 51
2019 Q2 3.67M $194M +$21.3M $52.91 49
2019 Q1 3.27M $169M -$1.97M $51.66 45
2018 Q4 3.3M $166M +$1.45M $50.28 39
2018 Q3 3.27M $163M +$6.03M $49.79 45
2018 Q2 3.14M $157M +$10.6M $50.10 39
2018 Q1 2.93M $148M +$3.36M $50.36 40
2017 Q4 2.88M $148M +$10M $51.27 38
2017 Q3 2.66M $137M +$5.27M $51.55 34
2017 Q2 2.56M $132M -$4.61M $51.40 37
2017 Q1 2.64M $135M +$3.49M $51.23 36
2016 Q4 2.67M $136M -$109M $51.06 41
2016 Q3 4.78M $254M +$12.8M $53.08 55
2016 Q2 4.54M $242M +$65M $53.19 53
2016 Q1 3.32M $173M +$67M $52.02 51
2015 Q4 2.11M $107M -$10.9M $50.66 39
2015 Q3 2.06M $107M +$11.8M $51.77 34
2015 Q2 2.45M $126M +$47.9M $51.36 37
2015 Q1 1.52M $79.1M +$2.75M $52.16 35
2014 Q4 1.46M $75M +$380K $51.19 37
2014 Q3 1.46M $75.1M +$27.2M $51.33 31
2014 Q2 934K $48.3M -$5.76M $51.71 27
2014 Q1 1.05M $53.5M -$5.24M $51.12 30