ISHARES TR - MRGSTR MD CP GRW (IMCG)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / MRGSTR MD CP GRW
Shares, excl. options Q1 2024
14.6 M
Holdings value Q1 2024
$1.03 B
Value change Q1 2024
-$67.6 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
281
Number of buys Q1 2024
139
Number of sells Q1 2024
-100
Average buys Q1 2024 %
+0.002%
Average sells Q1 2024 %
-0.002%
CUSIP
464288307
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 14.6 M $1.03 B -$67.6 M $70.68 281
2023 Q4 15.7 M $1.01 B +$133 M $64.45 280
2023 Q3 13.9 M $797 M +$58.3 M $57.13 242
2023 Q2 12.8 M $781 M +$24.7 M $60.94 230
2023 Q1 12.2 M $701 M +$27.9 M $57.56 224
2022 Q4 11.8 M $638 M +$64.8 M $53.88 213
2022 Q3 9.92 M $500 M +$63.6 M $50.38 202
2022 Q2 8.66 M $451 M +$6.5 M $51.94 202
2022 Q1 8.2 M $527 M -$46.9 M $64.28 207
2021 Q4 9.28 M $678 M +$79 M $73.24 214
2021 Q3 8.06 M $556 M +$22.5 M $68.88 174
2021 Q2 7.76 M $535 M +$274 M $68.89 177
2021 Q1 1.88 M $710 M -$173 M $378.16 174
2020 Q4 2.35 M $898 M +$110 M $382.48 173
2020 Q3 2.01 M $645 M +$231 M $320.44 146
2020 Q2 1.25 M $367 M +$148 M $293.20 134
2020 Q1 789 K $172 M -$6.02 M $218.10 105
2019 Q4 836 K $220 M -$96.4 M $262.98 112
2019 Q3 1.14 M $279 M +$22.9 M $243.43 90
2019 Q2 1.03 M $260 M +$41.2 M $251.53 83
2019 Q1 815 K $192 M +$90.8 M $235.29 75
2018 Q4 436 K $84.7 M +$5.72 M $194.39 64
2018 Q3 387 K $91.3 M +$11.2 M $235.73 63
2018 Q2 340 K $74.4 M -$1.24 K $218.87 57
2018 Q1 341 K $71.5 M +$2.64 M $209.43 58
2017 Q4 329 K $66.6 M -$439 K $202.47 55
2017 Q3 330 K $62.6 M +$9.69 M $189.69 51
2017 Q2 280 K $51.2 M +$1.96 M $182.90 49
2017 Q1 270 K $46.8 M -$6.98 M $173.99 54
2016 Q4 313 K $50.7 M -$7.85 M $162.05 53
2016 Q3 361 K $58.7 M +$745 K $162.86 50
2016 Q2 362 K $56.4 M -$21.2 M $155.96 53
2016 Q1 490 K $74.5 M +$5.23 M $152.19 48
2015 Q4 459 K $70.8 M +$3.43 M $154.55 50
2015 Q3 440 K $66.1 M -$2.78 M $149.89 45
2015 Q2 455 K $74.9 M -$161 K $164.60 46
2015 Q1 458 K $76.4 M +$5.8 M $166.99 48
2014 Q4 418 K $65.5 M +$1.89 M $156.54 43
2014 Q3 386 K $57 M -$5.35 M $147.69 42
2014 Q2 419 K $62.7 M +$5.63 M $149.87 39
2014 Q1 384 K $55.6 M +$3.2 M $144.98 39