ISHARES INC - MSCI EMERG MRKT (EEMV)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / MSCI EMERG MRKT
Shares, excl. options Q1 2024
47.4 M
Holdings value Q1 2024
$2.68 B
Value change Q1 2024
-$77.5 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
309
Number of buys Q1 2024
103
Number of sells Q1 2024
-179
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
-0.002%
CUSIP
464286533
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 47.4 M $2.68 B -$77.5 M $56.59 311
2023 Q4 48.9 M $2.72 B -$148 M $55.59 333
2023 Q3 53.8 M $2.88 B -$23 M $53.35 343
2023 Q2 54.2 M $2.98 B -$216 M $54.98 353
2023 Q1 57.7 M $3.15 B -$3.96 B $54.57 374
2022 Q4 133 M $7.03 B +$1 B $53.05 469
2022 Q3 127 M $6.43 B +$1.65 B $50.68 416
2022 Q2 94.5 M $5.24 B +$2.72 B $55.43 420
2022 Q1 43.8 M $2.67 B +$13 M $61.03 330
2021 Q4 44 M $2.76 B -$15.3 M $62.82 342
2021 Q3 30.4 M $1.91 B -$63.7 M $62.67 310
2021 Q2 31.5 M $2.02 B -$140 M $64.16 324
2021 Q1 33.9 M $2.14 B -$183 M $63.16 343
2020 Q4 35.8 M $2.18 B -$262 M $61.08 344
2020 Q3 39.8 M $2.2 B -$128 M $55.18 311
2020 Q2 41.8 M $2.17 B -$193 M $52.00 319
2020 Q1 42.8 M $2.01 B -$392 M $46.92 330
2019 Q4 53.4 M $3.13 B -$62.6 M $58.66 381
2019 Q3 54.1 M $3.09 B -$81.2 M $57.09 335
2019 Q2 54.9 M $3.23 B -$372 M $58.86 351
2019 Q1 61.1 M $3.63 B +$273 M $59.27 361
2018 Q4 56.4 M $3.16 B +$371 M $55.87 330
2018 Q3 45.6 M $2.69 B +$266 M $59.30 288
2018 Q2 43.2 M $2.5 B -$34.4 M $57.84 291
2018 Q1 43.6 M $2.72 B -$40 M $62.34 306
2017 Q4 41.6 M $2.53 B -$51.4 M $60.76 289
2017 Q3 41.5 M $2.41 B +$103 M $58.10 241
2017 Q2 39.9 M $2.21 B -$27.1 M $55.40 237
2017 Q1 40.1 M $2.14 B +$6.5 M $53.50 235
2016 Q4 43.4 M $2.12 B -$342 M $48.91 236
2016 Q3 49.3 M $2.67 B +$193 M $54.06 236
2016 Q2 45.8 M $2.36 B +$418 M $51.59 213
2016 Q1 34.5 M $1.77 B +$276 M $51.37 204
2015 Q4 31.5 M $1.53 B +$182 M $48.66 185
2015 Q3 27.3 M $1.36 B +$62.7 M $49.82 155
2015 Q2 26.5 M $1.53 B +$361 M $57.68 157
2015 Q1 19.8 M $1.17 B -$10.5 M $59.01 142
2014 Q4 19.9 M $1.13 B -$43.2 M $56.63 148
2014 Q3 20 M $1.2 B +$75.6 M $59.80 124
2014 Q2 18.9 M $1.14 B -$151 M $60.07 128
2014 Q1 21.4 M $1.22 B -$327 M $57.20 119