ISHARES TR - U.S. REAL ES ETF (IYR)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / U.S. REAL ES ETF
Shares, excl. options Q1 2024
47.6 M
Holdings value Q1 2024
$4.28 B
Value change Q1 2024
-$218 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
448
Number of buys Q1 2024
180
Number of sells Q1 2024
-227
Average buys Q1 2024 %
+0.006%
Average sells Q1 2024 %
-0.005%
CUSIP
464287739
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 47.6 M $4.28 B -$218 M $89.90 448
2023 Q4 50.1 M $4.58 B +$1.72 B $91.41 509
2023 Q3 35.9 M $2.81 B +$361 M $78.14 455
2023 Q2 27.7 M $2.39 B -$1.15 B $86.54 469
2023 Q1 40.9 M $3.47 B -$57.1 M $84.90 480
2022 Q4 45.3 M $3.82 B -$252 M $84.19 497
2022 Q3 48 M $3.91 B -$857 M $81.42 479
2022 Q2 58.3 M $5.36 B +$347 M $91.98 506
2022 Q1 53.7 M $5.81 B -$774 M $108.22 533
2021 Q4 61.4 M $7.12 B -$1.01 B $116.14 568
2021 Q3 63.5 M $6.51 B -$951 M $102.39 487
2021 Q2 72.8 M $7.43 B +$3.36 B $101.94 469
2021 Q1 46.1 M $4.24 B -$1.24 B $91.94 429
2020 Q4 54.4 M $4.66 B +$2.06 B $85.65 421
2020 Q3 35.6 M $2.84 B +$75.5 M $79.84 394
2020 Q2 33.9 M $2.67 B -$386 M $78.81 418
2020 Q1 39 M $2.72 B -$406 M $69.57 441
2019 Q4 44.7 M $4.16 B -$81.2 M $93.08 492
2019 Q3 45.1 M $4.22 B -$10.2 B $93.54 441
2019 Q2 152 M $4.08 B +$207 M $87.31 442
2019 Q1 45.4 M $3.95 B +$387 M $87.04 451
2018 Q4 40.1 M $3.01 B -$1.52 B $74.94 422
2018 Q3 60.2 M $4.82 B +$541 M $80.02 392
2018 Q2 52.4 M $4.22 B +$184 M $80.58 388
2018 Q1 55.1 M $4.16 B +$306 M $75.47 371
2017 Q4 50.9 M $4.12 B +$14.1 M $81.01 396
2017 Q3 50.3 M $4.02 B -$513 M $79.88 365
2017 Q2 56.7 M $4.52 B -$429 M $79.77 355
2017 Q1 62.1 M $4.87 B +$385 M $78.49 349
2016 Q4 54.3 M $4.17 B -$182 M $76.94 379
2016 Q3 60.8 M $4.9 B -$106 M $80.64 359
2016 Q2 62.2 M $5.12 B -$72.9 M $82.39 366
2016 Q1 62.9 M $4.9 B -$919 M $77.86 336
2015 Q4 74.9 M $5.63 B -$709 M $75.08 329
2015 Q3 83.9 M $5.95 B -$398 M $70.95 317
2015 Q2 89.2 M $6.36 B -$482 M $71.30 335
2015 Q1 95.5 M $7.57 B -$2.08 B $79.32 365
2014 Q4 122 M $9.39 B -$931 M $76.84 348
2014 Q3 136 M $9.41 B -$137 M $69.20 314
2014 Q2 137 M $9.83 B -$510 M $71.79 309
2014 Q1 144 M $9.75 B +$1.4 B $67.67 306