ISHARES TR - MSCI UK ETF NEW (EWU)

Historical Portfolio Holders from Q3 2016 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / MSCI UK ETF NEW
Shares, excl. options Q1 2024
41.7 M
Holdings value Q1 2024
$1.43 B
Value change Q1 2024
+$34.2 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
200
Number of buys Q1 2024
68
Number of sells Q1 2024
-117
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
-0.001%
CUSIP
46435G334
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 41.7 M $1.43 B +$34.2 M $34.21 200
2023 Q4 41 M $1.35 B -$59.3 M $33.05 223
2023 Q3 44.8 M $1.42 B -$64.2 M $31.64 218
2023 Q2 46.5 M $1.5 B -$747 M $32.35 224
2023 Q1 69.7 M $2.25 B +$500 M $32.26 224
2022 Q4 54.3 M $1.66 B -$65.3 M $30.66 238
2022 Q3 53.1 M $1.39 B -$69.8 M $26.21 210
2022 Q2 58.4 M $1.75 B +$61.6 M $29.96 226
2022 Q1 56.4 M $1.9 B +$320 M $33.64 236
2021 Q4 46.8 M $1.55 B -$459 M $33.14 220
2021 Q3 61.8 M $2 B -$37.6 M $32.25 224
2021 Q2 63 M $2.06 B -$152 M $32.70 233
2021 Q1 64.6 M $2.02 B +$327 M $31.31 215
2020 Q4 56.4 M $1.65 B +$224 M $29.29 177
2020 Q3 48.8 M $1.24 B +$58.3 M $25.49 155
2020 Q2 46.4 M $1.2 B -$71.6 M $25.76 162
2020 Q1 48.7 M $1.16 B -$73.3 M $23.88 163
2019 Q4 50.1 M $1.71 B +$228 M $34.10 195
2019 Q3 44.2 M $1.39 B -$12.7 M $31.43 184
2019 Q2 44.1 M $1.42 B -$29.5 M $32.32 182
2019 Q1 45.5 M $1.5 B +$204 M $33.01 185
2018 Q4 40.1 M $1.18 B +$58.4 M $29.35 171
2018 Q3 36.6 M $1.25 B -$89 M $34.12 185
2018 Q2 39.2 M $1.36 B +$206 M $34.78 178
2018 Q1 32.9 M $1.14 B -$639 M $34.75 173
2017 Q4 51.4 M $1.84 B +$6.65 M $35.82 166
2017 Q3 50.6 M $1.76 B +$469 M $34.85 160
2017 Q2 37.2 M $1.24 B -$329 M $33.33 162
2017 Q1 47.8 M $1.56 B +$602 M $32.55 163
2016 Q4 32.8 M $1.01 B +$943 M $30.69 152
2016 Q3 1.1 M $17.5 M +$17.5 M $15.84 3