ISHARES TR - MSCI GBL SUS DEV (SDG)

Historical Holders from Q2 2016 to Q1 2025

Symbol
SDG
CUSIP
46435G532
Type / Class
Equity / MSCI GBL SUS DEV
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
1.19M
Holdings value
$85.4M
% of all portfolios
0%
Grand Portfolio weight change
0%
Number of holders
109
Number of buys
41
Number of sells
-53
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - MSCI GBL SUS DEV (SDG)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 181K $13.2M -$16.1M $72.39 22
2024 Q4 1.19M $85.4M -$5.55M $71.56 109
2024 Q3 1.29M $109M -$13M $84.79 117
2024 Q2 1.44M $108M -$21.8M $75.07 113
2024 Q1 1.73M $137M -$10.7M $78.71 112
2023 Q4 1.82M $147M +$223K $81.05 119
2023 Q3 1.82M $135M -$959K $74.52 113
2023 Q2 1.83M $144M -$7.67M $79.05 111
2023 Q1 1.94M $153M +$10.4M $79.19 119
2022 Q4 1.81M $143M +$7.47M $78.91 122
2022 Q3 1.71M $122M +$13.3M $70.87 107
2022 Q2 1.53M $122M -$24.9M $79.88 106
2022 Q1 1.8M $154M -$34.4M $85.30 112
2021 Q4 2.23M $203M +$26.5M $90.76 123
2021 Q3 1.29M $123M +$18.8M $96.06 114
2021 Q2 1.71M $170M +$5.96M $99.37 111
2021 Q1 1.68M $160M +$15.7M $94.84 99
2020 Q4 1.48M $142M +$18.4M $93.35 82
2020 Q3 581K $46.7M +$4.95M $80.47 55
2020 Q2 520K $35.5M +$7.19M $68.16 39
2020 Q1 403K $23.2M +$5.41M $57.47 31
2019 Q4 307K $20.1M +$2.66M $65.43 35
2019 Q3 279K $16.3M +$2.38M $58.37 30
2019 Q2 241K $13.9M +$4.8M $57.69 30
2019 Q1 157K $9.27M +$850K $59.00 29
2018 Q4 178K $9.46M +$1.57M $53.00 28
2018 Q3 146K $8.51M -$1.97M $58.30 27
2018 Q2 181K $10.3M -$1.18M $56.67 25
2018 Q1 200K $11.8M +$6.65M $58.88 23
2017 Q4 87.4K $5.18M -$111K $59.19 18
2017 Q3 85.8K $4.97M +$1.34M $57.92 16
2017 Q2 62.7K $3.48M -$939K $55.50 9
2017 Q1 82K $4.22M +$1.4M $51.43 6
2016 Q4 205K $9.77M -$3.11M $47.72 7
2016 Q3 270K $13.5M -$1.35M $50.04 8
2016 Q2 297K $14.2M +$14.2M $47.72 5