ISHARES TR - MORTGE REL ETF (REM)

Historical Holders from Q1 2016 to Q4 2025

Type / Class
Equity / MORTGE REL ETF
Symbol
REM
Price per share
$22.18
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
8,400,393
Total reported value
$184,878,685
% of total 13F portfolios
0%
Share change
+445,257
Value change
+$9,959,274
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
119
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - MORTGE REL ETF (REM) has 119 institutional shareholders filing 13F forms. They hold 8,400,393 shares. .

Institutional Holders of ISHARES TR - MORTGE REL ETF (REM) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 64,083 $1,421,397 -$125,813 2,218% 4
2025 Q3 8,400,393 $184,878,685 +$9,959,274 2,197% 119
2025 Q2 8,359,254 $178,753,693 -$28,338,928 2,138% 111
2025 Q1 9,201,084 $206,435,965 +$36,103,390 2,244% 120
2024 Q4 7,640,774 $163,742,866 -$36,148,580 2,135% 122
2024 Q3 9,502,521 $225,241,501 +$39,690,110 2,373% 129
2024 Q2 7,567,188 $167,779,185 +$13,861,498 2,216% 120
2024 Q1 7,175,755 $166,720,786 -$24,795,871 2,324% 124
2023 Q4 8,073 $190,443 -$9,436 2,359.01% 1
2023 Q3 8,232,213 $183,782,739 +$9,494,890 2,234% 121
2023 Q2 8,028,401 $189,468,019 -$8,519,539 2,360% 115
2023 Q1 8,252,227 $179,810,361 -$22,892,168 2,184% 114
2022 Q4 9,279,831 $211,999,502 +$44,783,682 2,269% 120
2022 Q3 7,323,848 $153,383,840 -$1,628,654 2,093.97% 103
2022 Q2 7,338,475 $196,373,475 -$33,961,443 2,673.99% 116
2022 Q1 8,351,362 $272,508,130 -$162,081,197 3,266.89% 141
2021 Q4 13,606,432 $469,335,719 -$46,851,688 3,450.96% 150
2021 Q3 14,895,347 $539,209,679 +$3,528,811 3,617.91% 163
2021 Q2 14,793,593 $548,911,451 +$9,883,386 3,711.93% 175
2021 Q1 14,801,598 $513,318,791 +$30,508,809 3,526% 171
2020 Q4 13,714,566 $436,303,011 +$12,702,703 3,186.01% 167
2020 Q3 13,152,592 $338,919,990 +$56,236,050 2,575.98% 139
2020 Q2 10,875,297 $270,320,462 +$44,074,324 2,485.89% 129
2020 Q1 9,600,951 $179,778,745 -$47,530,318 1,869.96% 131
2019 Q4 9,433,496 $420,225,201 +$43,994,325 4,452.97% 165
2019 Q3 8,167,187 $343,868,029 -$26,744,715 4,212.77% 140
2019 Q2 8,794,749 $371,055,126 +$19,416,070 4,217.81% 140
2019 Q1 8,181,340 $354,666,089 -$63,942,554 4,333.96% 137
2018 Q4 9,820,422 $392,427,632 +$49,692,215 3,994.07% 145
2018 Q3 8,435,925 $367,463,089 +$52,631,572 4,356.01% 141
2018 Q2 7,155,957 $310,930,736 +$35,947,409 4,345.1% 127
2018 Q1 6,312,585 $268,430,485 -$22,733,879 4,247.82% 120
2017 Q4 5,598,652 $253,051,568 -$36,218,011 4,520.1% 126
2017 Q3 6,406,417 $300,055,803 -$58,736,285 4,683.83% 125
2017 Q2 7,703,415 $357,225,169 -$5,779,071 4,637.86% 134
2017 Q1 7,794,306 $352,996,833 +$32,712,229 4,528.99% 113
2016 Q4 8,483,174 $357,143,049 +$287,399,948 4,205.88% 123
2016 Q3 1,474,720 $15,500,000 +$15,499,970 1,053.14% 3
2016 Q1 5,759 $250,000 $0 4,341.03% 1