ISHARES TR - ESG AW MSCI EAFE (ESGD)

Historical Holders from Q1 2016 to Q1 2025

Symbol
ESGD
CUSIP
46435G516
Type / Class
Equity / ESG AW MSCI EAFE
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
86.3M
Holdings value
$6.58B
% of all portfolios
0.018%
Grand Portfolio weight change
+0%
Number of holders
600
Number of buys
308
Number of sells
-189
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - ESG AW MSCI EAFE (ESGD)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 5.01M $409M +$6.58M $81.69 147
2024 Q4 86.3M $6.58B +$264M $76.14 600
2024 Q3 82.5M $6.94B +$46M $84.17 580
2024 Q2 82M $6.46B -$15.6M $78.78 575
2024 Q1 82.2M $6.56B +$94.9M $79.91 567
2023 Q4 76.2M $5.76B -$125M $75.54 564
2023 Q3 82.3M $5.69B -$115M $69.13 543
2023 Q2 83.5M $6.09B +$192M $72.93 552
2023 Q1 80.7M $5.8B -$192M $71.84 534
2022 Q4 83.9M $5.51B -$15.1M $65.74 534
2022 Q3 84.4M $4.76B +$58.6M $56.13 482
2022 Q2 78.5M $4.93B +$101M $62.76 485
2022 Q1 81.3M $6B +$548M $73.73 470
2021 Q4 71.2M $5.66B +$563M $79.46 489
2021 Q3 67.3M $5.28B +$709M $78.38 414
2021 Q2 58.4M $4.62B +$630M $79.03 377
2021 Q1 50.6M $3.84B +$655M $75.90 365
2020 Q4 41.9M $3.06B +$269M $73.04 315
2020 Q3 37.2M $2.36B +$361M $63.48 258
2020 Q2 31.5M $1.91B +$600M $60.58 239
2020 Q1 21.6M $1.15B +$396M $53.16 208
2019 Q4 14.3M $983M +$284M $68.74 196
2019 Q3 10.2M $657M +$115M $64.12 170
2019 Q2 7.97M $512M +$74.8M $64.31 148
2019 Q1 6.35M $401M +$114M $63.18 143
2018 Q4 4.61M $265M +$137M $57.38 118
2018 Q3 2.52M $167M +$59.1M $66.22 98
2018 Q2 1.63M $106M +$38.2M $65.12 79
2018 Q1 1.05M $70.6M +$29.5M $67.32 66
2017 Q4 608K $41.3M -$14.7M $67.81 48
2017 Q3 836K $55.4M -$8.96M $66.25 37
2017 Q2 974K $61.1M -$3.27M $62.65 28
2017 Q1 1.02M $61.1M +$3.02M $60.08 14
2016 Q4 966K $53.8M +$49.4M $55.74 8
2016 Q3 79.6K $4.52M -$1.15M $57.27 2
2016 Q2 99.9K $5.29M +$5.29M $52.90 1
2016 Q1 146 $9K $0 $61.64 1