ISHARES TR - EXPANDED TECH (IGV)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / EXPANDED TECH
Shares, excl. options Q1 2024
49 M
Holdings value Q1 2024
$4.17 B
Value change Q1 2024
+$3.18 B
Grand Portfolio weight change Q1 2024
+0.007%
Number of holders
447
Number of buys Q1 2024
428
Number of sells Q1 2024
-73
Average buys Q1 2024 %
+0.017%
Average sells Q1 2024 %
-0.007%
CUSIP
464287515
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 49 M $4.17 B +$3.18 B $85.27 447
2023 Q4 9.82 M $3.98 B -$356 M $405.64 465
2023 Q3 12.1 M $4.12 B +$90.1 M $341.26 403
2023 Q2 11.7 M $4.04 B -$135 M $345.91 398
2023 Q1 10.7 M $3.27 B +$48 M $304.70 356
2022 Q4 11.9 M $3.05 B -$396 M $255.85 364
2022 Q3 12.2 M $3.06 B +$885 M $250.13 363
2022 Q2 8.65 M $2.33 B +$7.83 M $269.61 372
2022 Q1 8.71 M $3 B -$469 M $344.94 384
2021 Q4 10.1 M $4 B -$531 M $397.65 414
2021 Q3 12.7 M $5.08 B +$659 M $399.14 389
2021 Q2 10.3 M $4.02 B -$634 M $390.04 373
2021 Q1 11.9 M $4.07 B -$935 M $341.42 369
2020 Q4 12.2 M $4.31 B +$890 M $354.10 390
2020 Q3 11.4 M $3.55 B +$202 M $311.12 346
2020 Q2 10.6 M $3.02 B +$538 M $284.25 328
2020 Q1 8.94 M $1.88 B -$159 M $210.29 262
2019 Q4 9.55 M $2.23 B +$158 M $233.04 265
2019 Q3 8.48 M $1.8 B -$9.24 M $211.88 227
2019 Q2 8.52 M $1.86 B -$26 M $218.46 226
2019 Q1 8.66 M $1.83 B +$432 M $210.82 207
2018 Q4 6.44 M $1.12 B -$72.4 M $173.52 179
2018 Q3 6.74 M $1.38 B -$30.5 M $204.97 186
2018 Q2 6.95 M $1.27 B +$253 M $182.68 166
2018 Q1 5.59 M $948 M +$77.3 M $169.70 150
2017 Q4 5.15 M $796 M +$63.6 M $154.57 135
2017 Q3 4.49 M $656 M -$39.5 M $146.26 112
2017 Q2 4.76 M $651 M -$347 M $136.78 105
2017 Q1 7.32 M $926 M -$118 M $126.47 99
2016 Q4 8.37 M $911 M -$165 M $108.84 97
2016 Q3 10.2 M $1.16 B -$478 M $113.53 96
2016 Q2 14.5 M $1.52 B +$366 M $105.17 102
2016 Q1 10.9 M $1.1 B +$145 M $100.67 91
2015 Q4 9.48 M $984 M +$133 M $103.80 91
2015 Q3 7.83 M $741 M +$75.2 M $94.64 81
2015 Q2 6.7 M $666 M +$11.6 M $99.47 81
2015 Q1 6.92 M $665 M +$6.73 M $96.10 78
2014 Q4 6.86 M $636 M +$157 M $92.80 78
2014 Q3 3.82 M $330 M -$58.7 M $86.48 71
2014 Q2 4.5 M $387 M +$56.5 M $86.00 71
2014 Q1 3.85 M $321 M +$15.1 M $83.26 61