iSHARES TRUST - Common Stock (EFAV)

Historical Holders from Q1 2014 to Q1 2025

Symbol
EFAV
CUSIP
46429B689
Type / Class
Equity / Common Stock
Shares outstanding
60.5M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
62M
Holdings value
$4.38B
% of all portfolios
0.01%
Grand Portfolio weight change
0%
Number of holders
469
Number of buys
154
Number of sells
-230
Average Value change %
-0.02%
Average buys %
+0%
Average sells %
-0.02%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of iSHARES TRUST - Common Stock (EFAV)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 2.1% $99M 1.27M BlackRock, Inc. Mar 31, 2025

Institutional Holders of iSHARES TRUST - Common Stock (EFAV)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 2.13M $164M -$15.5M $77.92 107
2024 Q4 62M $4.38B -$205M $70.71 469
2024 Q3 64.7M $4.96B -$694M $76.70 467
2024 Q2 74.1M $5.14B -$447M $69.36 459
2024 Q1 80.6M $5.71B -$539M $70.88 457
2023 Q4 85.9M $5.95B -$233M $69.34 467
2023 Q3 89.1M $5.81B +$291M $65.22 456
2023 Q2 84.8M $5.73B +$4.45M $67.50 457
2023 Q1 88M $5.95B -$254M $67.65 458
2022 Q4 92.1M $5.86B -$85.4M $63.59 462
2022 Q3 93.2M $5.32B +$1.79B $57.01 446
2022 Q2 61.6M $3.9B -$218M $63.31 503
2022 Q1 64.7M $4.66B -$579M $72.14 531
2021 Q4 73.4M $5.63B -$60.4M $76.77 567
2021 Q3 66.2M $4.99B -$147M $75.34 525
2021 Q2 75.7M $5.72B -$721M $75.54 523
2021 Q1 78.6M $5.71B -$845M $72.99 554
2020 Q4 95.1M $6.98B -$518M $73.41 576
2020 Q3 101M $6.9B -$6.42M $68.13 512
2020 Q2 96.6M $6.39B -$423M $66.06 510
2020 Q1 105M $6.5B -$380M $62.05 535
2019 Q4 106M $7.92B +$615M $74.54 549
2019 Q3 101M $7.37B +$430M $73.28 448
2019 Q2 90.9M $6.6B +$58.1M $72.64 428
2019 Q1 94.8M $6.82B +$443M $72.00 419
2018 Q4 89M $5.94B +$1.11B $66.66 404
2018 Q3 63.2M $4.6B +$228M $72.81 340
2018 Q2 67.2M $4.79B +$304M $71.14 337
2018 Q1 64.6M $4.76B +$49.8M $73.69 327
2017 Q4 64.1M $4.68B +$157M $72.98 313
2017 Q3 59.1M $4.2B +$155M $71.06 254
2017 Q2 56.9M $3.94B +$183M $69.24 254
2017 Q1 52.8M $3.49B -$62.5M $66.00 233
2016 Q4 56M $3.43B -$1.2B $61.22 244
2016 Q3 75.1M $5.08B +$213M $67.64 246
2016 Q2 67.4M $4.47B +$709M $66.39 229
2016 Q1 59.8M $3.97B +$1.01B $66.44 215
2015 Q4 44.9M $2.91B +$1.04B $64.87 197
2015 Q3 27.7M $1.73B +$285M $62.39 155
2015 Q2 23M $1.51B +$278M $65.29 135
2015 Q1 19.1M $1.26B +$422M $65.89 129
2014 Q4 12.7M $787M +$97.1M $61.70 110
2014 Q3 10.4M $649M -$98.4M $62.63 93
2014 Q2 11.9M $779M +$112M $65.38 90
2014 Q1 10.1M $636M +$80.2M $62.76 76