ISHARES TR - MSCI CHINA ETF (MCHI)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / MSCI CHINA ETF
Symbol
MCHI
Price per share
$60.07
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
37,514,785
Total reported value
$2,464,130,143
% of total 13F portfolios
0.01%
Share change
+3,693,077
Value change
+$268,527,097
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
287
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - MSCI CHINA ETF (MCHI) has 287 institutional shareholders filing 13F forms. They hold 37,514,785 shares. .

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 371,524 $22,280,705 -$389,403 6,007.02% 10
2025 Q3 37,514,785 $2,464,130,143 +$268,527,097 6,585% 287
2025 Q2 33,814,525 $1,863,013,974 -$395,639,795 5,510% 266
2025 Q1 40,929,995 $2,225,159,464 +$318,218,369 5,440% 289
2024 Q4 35,306,284 $1,653,906,658 -$146,225,613 4,686% 247
2024 Q3 38,038,513 $1,930,326,752 -$668,073,524 5,091% 255
2024 Q2 51,295,260 $2,163,599,534 +$179,796,858 4,217% 267
2024 Q1 47,524,511 $1,889,336,762 -$833,265,204 3,973% 259
2023 Q4 75,287 $3,067,174 +$3,058,596 4,074% 3
2023 Q3 64,480,569 $2,788,098,070 +$51,057,915 4,329% 247
2023 Q2 63,251,460 $2,830,211,989 -$108,847,999 4,474% 258
2023 Q1 65,369,427 $3,260,344,410 +$81,488,389 4,989% 266
2022 Q4 63,975,505 $3,050,276,382 +$356,364,139 4,750% 237
2022 Q3 54,881,639 $2,333,282,378 +$310,541,429 4,256% 217
2022 Q2 47,892,321 $2,673,565,771 +$669,345,845 5,580.89% 247
2022 Q1 34,326,684 $1,821,497,487 +$393,767,412 5,288.99% 222
2021 Q4 28,054,897 $1,762,168,947 -$87,764,717 6,276.99% 234
2021 Q3 30,352,896 $2,051,159,744 -$294,272,669 6,752.98% 212
2021 Q2 34,555,718 $2,846,179,735 +$5,873,600 8,243.98% 234
2021 Q1 31,623,178 $2,583,297,369 -$554,167,017 8,169.99% 229
2020 Q4 36,252,986 $2,938,126,045 +$140,907,226 8,096.99% 231
2020 Q3 38,569,756 $2,859,984,826 +$57,076,546 7,416.91% 194
2020 Q2 37,233,095 $2,440,205,693 -$433,955,240 6,545% 171
2020 Q1 45,904,118 $2,629,068,648 -$135,269,184 5,725% 177
2019 Q4 41,009,073 $2,618,590,722 +$386,582,017 6,408.99% 185
2019 Q3 36,536,359 $2,049,514,020 -$353,665,659 5,608.01% 167
2019 Q2 41,283,273 $2,454,252,711 +$217,579,844 5,944.97% 168
2019 Q1 37,777,970 $2,358,751,630 +$213,837,835 6,242.85% 173
2018 Q4 35,672,836 $1,877,501,238 +$538,971,486 5,262.02% 144
2018 Q3 27,662,315 $1,656,493,654 -$1,820,553 5,988.99% 114
2018 Q2 24,897,893 $1,608,514,067 +$151,453,233 6,459.94% 127
2018 Q1 22,426,729 $1,536,732,462 +$160,982,935 6,856.98% 125
2017 Q4 19,873,438 $1,323,323,104 +$14,813,321 6,653.99% 109
2017 Q3 21,314,996 $1,344,249,098 -$47,923,435 6,309% 95
2017 Q2 20,746,361 $1,135,104,173 +$155,137,448 5,469.23% 91
2017 Q1 18,387,970 $917,903,701 -$158,755,876 4,993.03% 75
2016 Q4 21,721,212 $949,822,007 +$48,490,154 4,373% 68
2016 Q3 20,591,699 $998,319,888 +$105,252,548 4,849.95% 78
2016 Q2 18,651,029 $790,592,053 +$28,045,261 4,238.98% 69
2016 Q1 18,008,162 $765,459,235 -$185,547,699 4,250.98% 71
2015 Q4 18,622,995 $830,093,731 +$145,715,030 4,461.98% 72
2015 Q3 15,454,703 $676,856,704 +$28,397,123 4,380.97% 65
2015 Q2 14,569,518 $816,197,457 +$120,884,320 5,603.97% 80
2015 Q1 12,524,374 $682,138,564 +$192,462,558 5,450% 80
2014 Q4 8,591,968 $431,562,136 +$3,144,164 5,023.24% 66
2014 Q3 9,029,557 $427,894,780 +$136,208,526 4,738.12% 57
2014 Q2 6,617,713 $306,827,593 -$19,786,585 4,637.06% 54
2014 Q1 6,528,356 $293,692,000 -$49,943,542 4,498.82% 49