ISHARES TR - ESG AWR MSCI USA (ESGU)

Historical Holders from Q4 2016 to Q1 2025

Symbol
ESGU
CUSIP
46435G425
Type / Class
Equity / ESG AWR MSCI USA
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
84.1M
Holdings value
$10.8B
% of all portfolios
0.029%
Grand Portfolio weight change
+0%
Number of holders
772
Number of buys
276
Number of sells
-366
Average Value change %
+0%
Average buys %
+0.002%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - ESG AWR MSCI USA (ESGU)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 3.62M $440M -$47.5M $121.91 185
2024 Q4 84.1M $10.8B +$240M $128.82 772
2024 Q3 81.6M $10.3B -$369M $126.18 727
2024 Q2 85.3M $10.2B -$546M $119.32 730
2024 Q1 89.8M $10.3B -$2.16B $114.96 727
2023 Q4 109M $11.5B -$174M $104.92 736
2023 Q3 110M $10.4B -$1.84B $93.91 686
2023 Q2 131M $12.7B -$252M $97.46 692
2023 Q1 133M $12.1B -$6.84B $90.45 679
2022 Q4 209M $17.7B -$1.27B $84.75 684
2022 Q3 230M $18.2B -$25.7M $79.41 650
2022 Q2 228M $19.1B +$303M $83.90 643
2022 Q1 218M $22.1B +$1.83B $101.35 635
2021 Q4 206M $22.2B +$1.43B $107.90 642
2021 Q3 184M $18.1B +$3B $98.46 546
2021 Q2 159M $15.6B +$1.22B $98.47 503
2021 Q1 146M $13.3B +$742M $90.87 482
2020 Q4 138M $11.9B +$3.26B $86.03 419
2020 Q3 93.2M $7.1B +$904M $76.21 329
2020 Q2 81.4M $5.7B +$2.76B $69.99 295
2020 Q1 40.5M $2.33B +$1.79B $57.49 233
2019 Q4 7.96M $568M +$128M $71.32 108
2019 Q3 6.01M $393M +$240M $65.37 78
2019 Q2 2.31M $149M +$38.8M $64.53 66
2019 Q1 1.7M $106M +$10.9M $62.14 61
2018 Q4 1.58M $87M +$35M $54.92 49
2018 Q3 935K $59.8M +$8.69M $63.97 34
2018 Q2 799K $47.9M +$13.6M $59.90 21
2018 Q1 572K $33M +$30.5M $57.79 13
2017 Q4 43.7K $2.55M +$561K $58.35 7
2017 Q3 31.9K $1.75M -$2.75M $54.87 5
2017 Q2 82.5K $4.39M -$523K $53.22 4
2017 Q1 92.4K $4.76M -$2.76M $51.58 2
2016 Q4 148K $7.26M +$7.26M $49.01 2