ISHARES TR - U.S. MED DVC ETF (IHI)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / U.S. MED DVC ETF
Shares, excl. options Q1 2024
35.9 M
Holdings value Q1 2024
$2.1 B
Value change Q1 2024
+$1.96 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
549
Number of buys Q1 2024
212
Number of sells Q1 2024
-255
Average buys Q1 2024 %
+0.009%
Average sells Q1 2024 %
-0.004%
CUSIP
464288810
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 35.9 M $2.1 B +$1.96 M $58.59 549
2023 Q4 36.9 M $1.99 B -$52.4 M $53.97 556
2023 Q3 40.5 M $1.97 B +$88.6 M $48.50 523
2023 Q2 38.4 M $2.16 B -$167 M $56.46 563
2023 Q1 41.4 M $2.23 B -$20.3 M $53.98 532
2022 Q4 41.8 M $2.2 B -$39.8 M $52.57 554
2022 Q3 42.9 M $2.03 B -$234 M $47.18 528
2022 Q2 48.1 M $2.42 B -$4.79 M $50.44 561
2022 Q1 46.7 M $2.85 B -$263 M $60.96 599
2021 Q4 53.2 M $3.5 B +$80.4 M $65.85 644
2021 Q3 49.4 M $3.11 B +$2.49 B $62.78 555
2021 Q2 7.75 M $2.8 B -$1.16 B $361.04 527
2021 Q1 11.1 M $3.67 B -$1.01 B $330.36 552
2020 Q4 13.5 M $4.42 B +$99.8 M $327.30 564
2020 Q3 14.4 M $4.31 B +$454 M $299.62 477
2020 Q2 12.9 M $3.42 B +$1.33 B $264.77 451
2020 Q1 7.57 M $1.71 B -$157 M $225.35 349
2019 Q4 8.04 M $2.13 B +$28.1 M $264.32 365
2019 Q3 8.05 M $1.99 B +$115 M $247.23 306
2019 Q2 7.56 M $1.82 B +$7.58 M $240.72 290
2019 Q1 7.56 M $1.75 B +$317 M $231.53 267
2018 Q4 6.22 M $1.24 B -$252 M $199.81 227
2018 Q3 7.34 M $1.67 B +$291 M $227.48 224
2018 Q2 5.97 M $1.2 B +$288 M $200.65 184
2018 Q1 4.6 M $850 M +$75.8 M $185.01 166
2017 Q4 4.2 M $728 M -$22.1 M $173.51 168
2017 Q3 4.19 M $700 M -$123 M $167.03 149
2017 Q2 4.94 M $821 M +$276 M $166.61 154
2017 Q1 3.3 M $500 M +$26.8 M $151.42 136
2016 Q4 3.68 M $491 M -$404 M $133.15 105
2016 Q3 6.66 M $968 M +$113 M $145.39 118
2016 Q2 5.94 M $806 M +$209 M $135.55 108
2016 Q1 4.35 M $533 M +$105 M $122.48 87
2015 Q4 3.5 M $428 M -$46 M $122.47 82
2015 Q3 3.87 M $431 M -$5.19 M $111.29 80
2015 Q2 3.72 M $446 M -$43.5 M $119.73 72
2015 Q1 4.28 M $515 M -$18.3 M $120.29 75
2014 Q4 4.45 M $503 M +$91.3 M $113.11 78
2014 Q3 2.24 M $223 M +$1.4 M $99.40 65
2014 Q2 2.18 M $222 M +$3.49 M $102.02 68
2014 Q1 2.19 M $216 M +$33.4 M $98.81 59