ISHARES INC - MSCI SWEDEN ETF (EWD)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / MSCI SWEDEN ETF
Shares, excl. options Q1 2024
3.01 M
Holdings value Q1 2024
$120 M
Value change Q1 2024
-$4.1 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
76
Number of buys Q1 2024
37
Number of sells Q1 2024
-29
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
464286756
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 3.01 M $120 M -$4.1 M $39.96 76
2023 Q4 3.18 M $125 M -$44.8 M $39.47 69
2023 Q3 4.34 M $143 M +$16.3 M $32.97 66
2023 Q2 3.58 M $127 M -$6.44 M $35.42 79
2023 Q1 3.56 M $126 M -$486 K $35.54 77
2022 Q4 3.78 M $122 M -$38 M $32.33 71
2022 Q3 5.04 M $137 M -$56.1 M $27.25 51
2022 Q2 7.02 M $214 M -$55.5 M $30.45 63
2022 Q1 8.81 M $342 M +$92.4 M $38.85 66
2021 Q4 6.38 M $295 M +$65.7 M $46.33 78
2021 Q3 4.93 M $222 M +$33.4 M $44.85 86
2021 Q2 4.19 M $194 M +$26.7 M $46.40 80
2021 Q1 3.63 M $162 M -$4.52 M $44.57 69
2020 Q4 3.73 M $148 M +$17.8 M $39.80 62
2020 Q3 3.37 M $119 M +$14.4 M $35.31 54
2020 Q2 2.99 M $92.9 M -$37 M $31.07 49
2020 Q1 4.23 M $108 M +$3.05 M $25.59 53
2019 Q4 3.93 M $129 M +$2.42 M $32.90 58
2019 Q3 3.66 M $108 M -$1.5 M $29.45 53
2019 Q2 3.71 M $114 M -$20.9 M $30.84 54
2019 Q1 4.41 M $133 M +$17.3 M $30.22 50
2018 Q4 3.86 M $109 M -$14.6 M $28.24 51
2018 Q3 4.34 M $142 M +$3.58 M $32.82 61
2018 Q2 4.28 M $131 M -$85.1 M $30.51 55
2018 Q1 6.96 M $233 M -$63.2 M $33.48 70
2017 Q4 8.79 M $298 M +$26.4 M $33.90 71
2017 Q3 8 M $287 M +$59.7 M $35.88 54
2017 Q2 6.42 M $218 M +$52 M $33.92 55
2017 Q1 5.02 M $158 M -$1.48 M $31.57 53
2016 Q4 5.12 M $147 M -$32.6 M $28.73 56
2016 Q3 6.04 M $175 M -$9.37 M $29.07 61
2016 Q2 6.66 M $182 M +$2.46 M $27.35 59
2016 Q1 6.28 M $185 M -$36.1 M $29.45 52
2015 Q4 7.55 M $220 M -$5.12 M $29.18 69
2015 Q3 7.7 M $224 M +$65.1 M $29.03 61
2015 Q2 6.73 M $214 M +$33.1 M $31.77 69
2015 Q1 5.69 M $191 M -$5.09 M $33.48 60
2014 Q4 5.88 M $186 M -$31.9 M $31.67 62
2014 Q3 6.38 M $211 M -$81.6 M $33.09 63
2014 Q2 8.79 M $310 M -$51.1 M $35.28 90
2014 Q1 10 M $367 M +$36.8 M $36.62 79