ISHARES TR - MSCI GBL SUS DEV (SDG)

Historical Holders from Q2 2016 to Q4 2025

Type / Class
Equity / MSCI GBL SUS DEV
Symbol
SDG
Price per share
$84.91
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
834,299
Total reported value
$69,374,083
% of total 13F portfolios
0%
Share change
-13,555
Value change
-$1,087,821
Number of holders
99
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - MSCI GBL SUS DEV (SDG) has 99 institutional shareholders filing 13F forms. They hold 834,299 shares. .

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 25,450 $2,164,328 -$1,841,966 $84.91 2
2025 Q3 834,299 $69,374,083 -$1,087,821 $83.20 99
2025 Q2 856,964 $65,043,985 -$7,522,509 $75.86 96
2025 Q1 958,851 $69,459,837 -$16,799,452 $72.39 108
2024 Q4 1,196,819 $85,822,971 -$5,495,070 $71.56 110
2024 Q3 1,288,551 $109,102,586 -$13,011,607 $84.79 117
2024 Q2 1,443,836 $108,473,842 -$21,792,146 $75.07 113
2024 Q1 1,734,681 $136,554,551 -$10,704,784 $78.71 112
2023 Q4 984 $79,753 +$79,753 $81.05 1
2023 Q3 1,816,012 $135,309,257 -$959,332 $74.52 113
2023 Q2 1,826,501 $144,353,953 -$7,671,727 $79.05 111
2023 Q1 1,935,722 $153,288,519 +$10,430,526 $79.19 119
2022 Q4 1,807,378 $142,747,963 +$7,465,240 $78.91 122
2022 Q3 1,714,861 $121,814,372 +$13,318,907 $70.87 107
2022 Q2 1,527,088 $122,011,125 -$24,851,737 $79.88 106
2022 Q1 1,800,291 $153,696,229 -$34,438,983 $85.30 112
2021 Q4 2,234,512 $202,772,312 +$26,456,205 $90.76 123
2021 Q3 1,285,407 $123,423,840 +$18,840,518 $96.06 114
2021 Q2 1,707,326 $170,345,719 +$5,962,952 $99.37 111
2021 Q1 1,681,349 $160,235,462 +$15,667,475 $94.84 99
2020 Q4 1,484,532 $142,462,081 +$18,370,378 $93.35 82
2020 Q3 581,126 $46,728,620 +$4,950,576 $80.47 55
2020 Q2 520,286 $35,459,464 +$7,185,401 $68.16 39
2020 Q1 402,598 $23,158,000 +$5,411,143 $57.47 31
2019 Q4 307,472 $20,121,509 +$2,662,275 $65.43 35
2019 Q3 278,531 $16,257,354 +$2,383,465 $58.37 30
2019 Q2 240,525 $13,876,152 +$4,801,526 $57.69 30
2019 Q1 157,095 $9,265,799 +$850,259 $59.00 29
2018 Q4 178,228 $9,458,907 +$1,566,441 $53.00 28
2018 Q3 145,922 $8,507,318 -$1,973,385 $58.30 27
2018 Q2 180,815 $10,283,293 -$1,175,872 $56.67 25
2018 Q1 200,397 $11,795,688 +$6,649,090 $58.88 23
2017 Q4 87,425 $5,175,597 -$111,185 $59.19 18
2017 Q3 85,824 $4,970,801 +$1,339,746 $57.92 16
2017 Q2 62,694 $3,480,104 -$938,650 $55.50 9
2017 Q1 81,998 $4,222,000 +$1,404,260 $51.43 6
2016 Q4 204,711 $9,769,000 -$3,110,290 $47.72 7
2016 Q3 269,858 $13,499,000 -$1,345,920 $50.04 8
2016 Q2 297,015 $14,174,000 +$14,173,992 $47.72 5