ISHARES TR - ESG AW MSCI EAFE (ESGD)

Historical Holders from Q1 2016 to Q4 2025

Symbol
ESGD
Type / Class
Equity / ESG AW MSCI EAFE
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
84,972,559
Holdings value
$7,900,517,838
% of all portfolios
0.02%
Number of holders
636
Number of buys
316
Number of sells
211
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025 ISHARES TR - ESG AW MSCI EAFE (ESGD) has 636 institutional shareholders that have filed 13F forms with the Securities Exchange Commission (SEC). These institutions hold a total of 84,972,559 shares of the company stock as of 30 Sep 2025.

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 656,519 $62,427,965 +$568,781 $95.09 17
2025 Q3 84,972,559 $7,900,517,838 +$14,910,692 $92.98 636
2025 Q2 85,349,295 $7,612,602,214 -$30,569,201 $89.22 640
2025 Q1 86,050,876 $7,029,309,714 -$1,251,001 $81.69 604
2024 Q4 86,334,339 $6,576,712,280 +$263,889,460 $76.14 603
2024 Q3 82,462,698 $6,938,649,127 +$45,997,452 $84.17 580
2024 Q2 81,994,315 $6,459,159,783 -$15,579,710 $78.78 575
2024 Q1 82,160,451 $6,564,435,143 +$94,876,448 $79.91 567
2023 Q4 109,994 $8,308,972 +$1,470,084 $75.54 5
2023 Q3 82,326,825 $5,691,218,223 -$114,737,080 $69.13 543
2023 Q2 83,499,598 $6,089,038,142 +$191,565,649 $72.93 552
2023 Q1 80,684,366 $5,800,720,393 -$192,186,909 $71.84 534
2022 Q4 83,863,857 $5,514,022,414 -$15,138,205 $65.74 534
2022 Q3 84,372,689 $4,759,165,829 +$58,619,827 $56.13 482
2022 Q2 78,513,426 $4,928,707,730 +$100,569,216 $62.76 485
2022 Q1 81,343,253 $5,997,217,988 +$547,629,516 $73.73 470
2021 Q4 71,244,703 $5,662,489,250 +$563,448,692 $79.46 489
2021 Q3 67,335,799 $5,278,878,268 +$708,638,685 $78.38 414
2021 Q2 58,446,196 $4,619,247,161 +$630,405,819 $79.03 377
2021 Q1 50,612,904 $3,841,822,504 +$654,991,488 $75.90 365
2020 Q4 41,876,962 $3,060,180,320 +$268,669,621 $73.04 315
2020 Q3 37,167,131 $2,359,779,900 +$360,824,229 $63.48 258
2020 Q2 31,499,705 $1,908,151,205 +$599,774,260 $60.58 239
2020 Q1 21,587,150 $1,147,355,852 +$395,777,101 $53.16 208
2019 Q4 14,269,486 $983,060,313 +$283,987,066 $68.74 196
2019 Q3 10,249,624 $657,164,675 +$114,672,996 $64.12 170
2019 Q2 7,967,127 $512,153,270 +$74,824,529 $64.31 148
2019 Q1 6,351,232 $401,364,154 +$113,873,782 $63.18 143
2018 Q4 4,608,650 $264,555,048 +$136,707,535 $57.38 118
2018 Q3 2,522,809 $166,986,649 +$59,114,805 $66.22 98
2018 Q2 1,634,453 $106,493,126 +$38,170,551 $65.12 79
2018 Q1 1,047,899 $70,561,432 +$29,499,023 $67.32 66
2017 Q4 608,328 $41,322,296 -$14,726,761 $67.81 48
2017 Q3 836,291 $55,403,654 -$8,963,555 $66.25 37
2017 Q2 974,411 $61,054,231 -$3,265,115 $62.65 28
2017 Q1 1,016,137 $61,058,203 +$3,020,016 $60.08 14
2016 Q4 965,882 $53,836,614 +$49,401,248 $55.74 8
2016 Q3 79,586 $4,524,000 -$1,154,398 $57.27 2
2016 Q2 99,900 $5,285,000 +$5,285,000 $52.90 1
2016 Q1 146 $9,000 $0 $61.64 1