BLACKROCK, INC. - ETF Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2018 to Q3 2025

Type / Class
Equity / ETF
Price per share
$711.20
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
35,357
Total reported value
$25,135,442
% of total 13F portfolios
0%
Share change
-11,244
Value change
-$7,990,786
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2 institutional investors reported holding 35,357 shares of BLACKROCK, INC. - ETF.

Institutional Holders of BLACKROCK, INC. - ETF across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 35,357 $25,135,442 -$7,990,786 $711.20 2
2025 Q2 46,601 $30,755,807 -$12,470,049 $659.96 3
2025 Q1 65,494 $38,645,780 +$16,019,083 $590.03 3
2024 Q4 38,179 $23,942,692 +$1,528,450 $625.57 2
2024 Q3 35,775 $21,721,243 -$5,642,402 $607.17 2
2024 Q2 45,068 $26,156,525 +$1,543,893 $580.39 2
2024 Q1 42,409 $23,430,000 -$5,196,600 $552.48 1
2023 Q4 51,815 $26,011,000 -$896,568 $502.00 1
2023 Q3 53,601 $24,182,000 -$1,053,431 $451.15 1
2023 Q2 55,936 $25,863,000 -$2,560,289 $462.37 1
2023 Q1 61,782 $26,187,747 -$1,645,099 $423.88 2
2022 Q4 65,730 $26,014,181 +$3,085,496 $394.55 2
2022 Q3 57,934 $21,881,000 +$4,226,252 $374.52 2
2022 Q2 46,747 $18,164,000 +$3,331,221 $389.47 2
2022 Q1 38,173 $17,948,000 -$1,878,884 $469.83 2
2021 Q4 42,169 $20,547,000 -$1,839,735 $484.99 2
2021 Q3 45,944 $21,490,000 +$7,550,650 $455.66 2
2021 Q2 29,817 $12,998,000 -$19,783,236 $435.93 2
2021 Q1 96,054 $30,773,000 +$6,245,999 $402.40 3
2020 Q4 835 $314,000 -$35,919,004 $376.05 1
2020 Q3 108,013 $36,233,000 -$100,635 $335.45 1
2020 Q2 108,313 $33,523,000 +$33,523,003 $309.50 1
2020 Q1 0 $0 -$34,742,000 $711.20 0
2019 Q4 108,471 $34,742,000 +$52,000 $324.69 2
2019 Q3 108,313 $31,939,000 +$31,939,002 $294.88 1
2018 Q3 0 $0 -$2,188,000 $711.20 0
2018 Q2 8,198 $2,188,000 +$2,188,000 $266.89 1