ISHARES INC - MSCI GBL ETF NEW (PICK)

Historical Holders from Q1 2016 to Q1 2025

Symbol
PICK
CUSIP
46434G848
Type / Class
Equity / MSCI GBL ETF NEW
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
13M
Holdings value
$456M
% of all portfolios
0.001%
Grand Portfolio weight change
0%
Number of holders
151
Number of buys
62
Number of sells
-71
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES INC - MSCI GBL ETF NEW (PICK)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 109K $3.91M -$1.65M $35.88 20
2024 Q4 13M $456M -$25.4M $34.99 151
2024 Q3 13.5M $582M -$266M $43.21 158
2024 Q2 19.7M $802M +$187M $40.83 170
2024 Q1 15.1M $629M -$264K $41.70 171
2023 Q4 14.6M $635M -$167M $43.07 169
2023 Q3 18.2M $722M -$27.4M $39.76 156
2023 Q2 18.9M $764M +$2.01M $40.46 152
2023 Q1 19M $812M +$142M $42.72 164
2022 Q4 16M $656M -$29.4M $41.00 167
2022 Q3 16.5M $563M +$50.2M $34.03 132
2022 Q2 15.2M $540M -$42M $35.62 142
2022 Q1 15.6M $798M +$276M $51.22 158
2021 Q4 10.3M $438M -$19.2M $42.62 112
2021 Q3 10.8M $441M -$48.4M $40.78 115
2021 Q2 11.7M $526M +$121M $45.17 125
2021 Q1 9.11M $384M +$172M $42.13 104
2020 Q4 5.02M $185M +$55.5M $36.85 62
2020 Q3 3.6M $96.3M +$32.4M $26.78 57
2020 Q2 2.37M $58.2M -$4.98M $24.53 44
2020 Q1 2.62M $50.6M -$9.77M $19.30 39
2019 Q4 2.58M $76.8M +$18M $29.73 52
2019 Q3 2.01M $53.2M -$11.4M $26.62 46
2019 Q2 2.42M $73.2M +$5.02M $30.29 47
2019 Q1 2.25M $69.9M -$26.3M $31.06 54
2018 Q4 3.04M $82.1M +$12.7M $26.98 48
2018 Q3 2.31M $75.2M -$44.7M $32.59 53
2018 Q2 3.5M $114M -$39.4M $32.62 54
2018 Q1 4.8M $161M +$38.1M $33.52 57
2017 Q4 3.66M $126M +$38.6M $34.63 53
2017 Q3 2.31M $71.6M +$29.3M $30.97 43
2017 Q2 1.63M $44.1M -$48.9M $26.99 36
2017 Q1 3.19M $89.6M +$12.9M $28.08 41
2016 Q4 2.73M $70.4M +$67.3M $25.74 43
2016 Q3 261K $3.04M +$3.04M $11.67 2
2016 Q1 293 $9K $0 $30.72 1