ISHARES INC - MSCI GBL ETF NEW (PICK)

Historical Holders from Q1 2016 to Q4 2025

Type / Class
Equity / MSCI GBL ETF NEW
Symbol
PICK
Price per share
$51.34
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
11,068,342
Holdings value
$492,435,010
% of all portfolios
0%
Share change
-272,064
Value change
-$8,775,436
Average buys %
+0%
Average sells %
-0%
Number of holders
148
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES INC - MSCI GBL ETF NEW (PICK) has 148 institutional shareholders filing 13F forms. They hold 11,068,342 shares .

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 39,688 $2,065,977 +$302,857 $51.34 5
2025 Q3 11,068,342 $492,435,010 -$8,775,436 $44.50 148
2025 Q2 11,399,208 $428,633,235 -$2,007,869 $37.60 143
2025 Q1 11,480,532 $412,170,122 -$55,891,397 $35.88 146
2024 Q4 13,082,997 $458,049,481 -$25,426,958 $34.99 152
2024 Q3 13,472,384 $582,092,409 -$265,677,509 $43.21 158
2024 Q2 19,651,013 $802,481,385 +$186,913,234 $40.83 170
2024 Q1 15,069,970 $628,670,241 -$264,416 $41.70 171
2023 Q4 51,052 $2,186,888 +$867,471 $43.07 4
2023 Q3 18,170,371 $722,420,298 -$27,383,417 $39.76 156
2023 Q2 18,874,321 $763,662,418 +$2,007,795 $40.46 152
2023 Q1 19,014,881 $812,253,370 +$142,393,029 $42.72 164
2022 Q4 15,968,313 $655,648,380 -$29,355,556 $41.00 167
2022 Q3 16,540,653 $563,006,830 +$50,228,658 $34.03 132
2022 Q2 15,151,135 $540,369,071 -$42,049,719 $35.62 142
2022 Q1 15,604,898 $797,736,013 +$276,195,596 $51.22 158
2021 Q4 10,262,348 $437,791,479 -$19,216,809 $42.62 112
2021 Q3 10,797,747 $440,516,124 -$48,372,540 $40.78 115
2021 Q2 11,651,605 $526,368,395 +$121,007,247 $45.17 125
2021 Q1 9,108,212 $383,564,273 +$171,713,214 $42.13 104
2020 Q4 5,018,592 $185,107,605 +$55,502,777 $36.85 62
2020 Q3 3,597,088 $96,333,136 +$32,356,396 $26.78 57
2020 Q2 2,372,733 $58,203,202 -$4,980,661 $24.53 44
2020 Q1 2,624,899 $50,645,340 -$9,773,794 $19.30 39
2019 Q4 2,584,306 $76,810,013 +$18,045,757 $29.73 52
2019 Q3 2,008,177 $53,190,364 -$11,434,377 $26.62 46
2019 Q2 2,417,460 $73,225,135 +$5,016,899 $30.29 47
2019 Q1 2,249,668 $69,889,184 -$26,259,790 $31.06 54
2018 Q4 3,042,356 $82,073,404 +$12,671,831 $26.98 48
2018 Q3 2,307,231 $75,169,205 -$44,677,480 $32.59 53
2018 Q2 3,502,337 $114,307,371 -$39,445,391 $32.62 54
2018 Q1 4,795,352 $160,981,666 +$38,079,343 $33.52 57
2017 Q4 3,656,903 $125,824,629 +$38,568,888 $34.63 53
2017 Q3 2,310,600 $71,555,563 +$29,329,665 $30.97 43
2017 Q2 1,634,860 $44,124,000 -$48,935,682 $26.99 36
2017 Q1 3,192,268 $89,640,000 +$12,874,122 $28.08 41
2016 Q4 2,731,906 $70,371,000 +$67,318,033 $25.74 43
2016 Q3 260,818 $3,044,000 +$3,044,002 $11.67 2
2016 Q1 293 $9,000 $0 $30.72 1