ISHARES CORE EM IMI ACC - ETP Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2016 to Q3 2025

Type / Class
Equity / ETP
Price per share
$43.20
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
536,924
Total reported value
$23,214,871
% of total 13F portfolios
0%
Share change
+501,010
Value change
+$21,663,873
Number of holders
3
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 3 institutional investors reported holding 536,924 shares of ISHARES CORE EM IMI ACC - ETP.

Institutional Holders of ISHARES CORE EM IMI ACC - ETP across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 536,924 $23,214,871 +$21,663,873 $43.20 3
2025 Q2 35,914 $1,410,888 +$240,496 $39.29 2
2025 Q1 29,793 $1,038,000 -$581,237 $34.84 1
2024 Q4 46,824 $1,598,271 -$1,749,464 $34.13 2
2024 Q3 98,066 $3,617,613 -$940,988 $36.89 2
2024 Q2 123,574 $4,224,190 +$3,412,284 $34.23 2
2024 Q1 23,658 $771,000 -$11,421,900 $32.59 1
2023 Q4 374,137 $11,898,000 -$392,586 $31.80 1
2023 Q3 386,482 $11,372,000 -$1,085,319 $29.42 1
2023 Q2 423,367 $12,848,000 -$21,122 $30.35 1
2023 Q1 424,063 $12,645,000 -$323,440 $29.82 1
2022 Q4 435,227 $12,474,288 -$164,355 $28.74 2
2022 Q3 440,962 $11,455,000 +$911,381 $25.95 2
2022 Q2 405,880 $11,931,000 $0 $29.25 2
2022 Q1 405,880 $13,528,000 $0 $33.29 2
2021 Q4 405,880 $14,459,000 +$4,525,062 $35.60 2
2021 Q3 278,860 $10,126,000 -$2,759,340 $36.11 2
2021 Q2 348,443 $13,448,000 +$3,943,003 $38.59 3
2021 Q1 246,276 $9,080,000 $0 $36.86 2
2020 Q4 9,415 $339,000 +$339,000 $36.01 1
2020 Q1 0 $0 -$386,000 $43.20 0
2019 Q4 13,000 $386,000 -$399,361 $29.69 1
2019 Q3 26,450 $714,000 $0 $26.99 1
2019 Q2 26,450 $748,000 $0 $28.28 1
2019 Q1 26,450 $741,000 $0 $28.02 1
2018 Q4 26,450 $684,000 -$3,000 $25.86 1
2018 Q3 26,550 $736,000 +$3,000 $28.86 2
2018 Q2 26,450 $742,000 -$99,588 $28.05 1
2018 Q1 30,000 $922,000 $0 $30.73 1
2017 Q4 30,000 $907,000 +$906,999 $30.23 1
2017 Q2 0 $0 -$741,999 $43.20 0
2017 Q1 30,000 $742,000 $0 $24.73 1
2016 Q4 30,000 $663,000 +$663,000 $22.10 1