ISHARES TR - MSCI ACWI ETF (ACWI)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / MSCI ACWI ETF
Shares, excl. options Q2 2024
93.3M
Holdings value Q2 2024
$10.5B
Value change Q2 2024
-$1.01B
Grand Portfolio weight change Q2 2024
-0.002%
Number of holders
666
Number of buys Q2 2024
88
Number of sells Q2 2024
-105
Average buys Q2 2024 %
+0.009%
Average sells Q2 2024 %
-0.014%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 15.6M $1.86B +$7.38M $119.55 279
2024 Q2 93.3M $10.5B -$1.01B $112.40 668
2024 Q1 98.9M $10.9B -$1.25B $110.13 644
2023 Q4 108M $11B +$1.15B $101.77 664
2023 Q3 95.5M $8.84B -$41.9M $92.37 593
2023 Q2 98M $9.4B -$547M $95.94 588
2023 Q1 103M $9.42B -$471M $91.16 586
2022 Q4 110M $9.36B +$2.61B $84.88 592
2022 Q3 73.9M $5.76B -$1.23B $77.83 536
2022 Q2 89.4M $7.5B +$363M $83.89 554
2022 Q1 85.8M $8.56B -$807M $99.78 555
2021 Q4 89.4M $9.46B +$871M $105.78 554
2021 Q3 83.3M $8.33B -$27.4M $99.92 507
2021 Q2 87.4M $8.85B +$593M $101.19 512
2021 Q1 85.8M $8.17B -$415M $95.15 495
2020 Q4 81.3M $7.36B -$154M $90.72 500
2020 Q3 83M $6.63B +$117M $79.92 437
2020 Q2 82.9M $6.11B -$1.15B $73.72 432
2020 Q1 94.6M $5.92B +$2.25B $62.57 441
2019 Q4 57M $4.52B -$99.3M $79.25 455
2019 Q3 56.1M $4.14B +$78.2M $73.75 413
2019 Q2 54M $3.98B +$336M $73.71 396
2019 Q1 49.3M $3.56B -$1.84B $72.15 384
2018 Q4 75.4M $4.84B +$1.94B $64.16 389
2018 Q3 41.6M $3.09B +$189M $74.26 329
2018 Q2 41.2M $2.93B +$249M $71.12 311
2018 Q1 36.8M $2.63B -$806M $71.70 316
2017 Q4 47.5M $3.43B +$321M $72.09 315
2017 Q3 42.9M $2.95B +$334M $68.82 246
2017 Q2 37.4M $2.45B +$166M $65.49 237
2017 Q1 36.2M $2.29B +$23.7M $63.26 246
2016 Q4 36.6M $2.16B +$394M $59.17 231
2016 Q3 28.6M $1.69B -$171M $59.10 214
2016 Q2 31.7M $1.78B +$110M $56.23 206
2016 Q1 29.8M $1.65B -$786M $56.06 195
2015 Q4 43.5M $2.43B +$407M $55.82 212
2015 Q3 35.5M $1.92B +$509M $53.94 174
2015 Q2 25.5M $1.51B +$218M $59.45 184
2015 Q1 21M $1.26B -$475M $60.02 168
2014 Q4 29.7M $1.74B +$396M $58.50 173
2014 Q3 22M $1.3B +$36.3M $58.90 137
2014 Q2 21.4M $1.29B +$127M $60.26 135
2014 Q1 19.3M $1.12B -$224M $58.14 136