ISHARES INC - ESG AWR MSCI EM (ESGE)

Historical Portfolio Holders from Q2 2016 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / ESG AWR MSCI EM
Shares, excl. options Q1 2024
80.4 M
Holdings value Q1 2024
$2.59 B
Value change Q1 2024
+$110 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
462
Number of buys Q1 2024
215
Number of sells Q1 2024
-210
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
-0.002%
CUSIP
46434G863
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 80.4 M $2.59 B +$110 M $32.23 462
2023 Q4 77.8 M $2.49 B -$198 M $32.06 490
2023 Q3 83.7 M $2.53 B -$141 M $30.28 473
2023 Q2 87.7 M $2.77 B -$76.5 M $31.63 482
2023 Q1 92.6 M $2.92 B +$219 M $31.48 487
2022 Q4 87.3 M $2.63 B -$398 M $30.07 499
2022 Q3 101 M $2.82 B -$17.9 M $27.67 504
2022 Q2 102 M $3.29 B -$1.33 B $32.31 527
2022 Q1 142 M $5.19 B +$320 M $36.73 548
2021 Q4 135 M $5.39 B -$74.7 M $39.75 537
2021 Q3 128 M $5.32 B -$694 M $41.44 470
2021 Q2 154 M $6.93 B +$509 M $45.15 460
2021 Q1 142 M $6.16 B +$244 M $43.31 442
2020 Q4 131 M $5.5 B +$1.72 B $41.98 400
2020 Q3 89.9 M $3.2 B +$176 M $35.61 311
2020 Q2 85.8 M $2.75 B +$809 M $32.08 286
2020 Q1 56.3 M $1.54 B +$1.08 B $27.37 259
2019 Q4 16.7 M $599 M +$82.6 M $35.93 164
2019 Q3 14.4 M $469 M -$37.8 M $32.53 137
2019 Q2 15.1 M $514 M +$155 M $34.00 129
2019 Q1 10.6 M $360 M +$69.3 M $34.06 122
2018 Q4 8.67 M $266 M +$104 M $30.67 103
2018 Q3 5.16 M $172 M -$826 K $33.36 95
2018 Q2 5.09 M $171 M +$102 M $33.65 67
2018 Q1 2.09 M $158 M +$63.7 M $75.70 59
2017 Q4 1.25 M $92.1 M +$43.1 M $73.89 42
2017 Q3 668 K $46.4 M +$20 M $69.48 28
2017 Q2 384 K $24.7 M -$2.96 M $64.25 17
2017 Q1 431 K $26.4 M +$4.8 M $61.30 9
2016 Q4 352 K $19.1 M +$16.4 M $54.28 7
2016 Q3 49.4 K $2.85 M -$2.92 M $57.68 2
2016 Q2 100 K $5.28 M +$5.28 M $52.76 1