ISHARES GOLD TRUST - ISHARES NEW (IAU)

Historical Holders from Q1 2016 to Q3 2025

Symbol
IAU on NYSE
Type / Class
Equity / ISHARES NEW
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
429M
Holdings value
$31.2B
% of all portfolios
0.167%
Grand Portfolio weight change
+0.003%
Number of holders
1670
Number of buys
912
Number of sells
-463
Average Value change %
+0.02%
Average buys %
+0.026%
Average sells %
-0.009%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES GOLD TRUST - ISHARES NEW (IAU)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 429M $31.2B +$1.97B $72.77 1,670
2025 Q2 401M $25B +$11.8M $62.36 1,568
2025 Q1 404M $23.8B +$2B $58.96 1,528
2024 Q4 372M $18.4B +$755M $49.51 1,397
2024 Q3 352M $17.5B -$945M $49.70 1,214
2024 Q2 372M $16.4B +$69.8M $43.93 1,157
2024 Q1 371M $15.6B -$982M $42.01 1,129
2023 Q4 393M $15.3B +$192M $39.03 1,132
2023 Q3 387M $13.6B -$1.63B $34.99 1,025
2023 Q2 434M $15.8B +$382M $36.39 1,050
2023 Q1 421M $15.7B +$127M $37.37 1,016
2022 Q4 425M $14.7B -$1.76B $34.59 994
2022 Q3 476M $15B -$381M $31.53 928
2022 Q2 487M $16.7B +$1.43B $34.31 982
2022 Q1 444M $16.3B -$736M $36.83 909
2021 Q4 461M $16B -$426M $34.81 948
2021 Q3 469M $15.7B -$78.7M $33.41 844
2021 Q2 472M $15.9B +$15.4B $33.71 815
2021 Q1 3.09M $52.1M +$9.75M $16.26 9
2020 Q4 2.49M $46.8M +$1.47M $18.13 9
2020 Q3 1.47M $28.2M +$309K $17.99 6
2020 Q2 1.46M $26.5M +$44.2K $16.99 5
2020 Q1 1.45M $23.9M -$2.41M $15.07 5
2019 Q4 1.62M $25.4M +$812K $14.50 8
2019 Q3 1.56M $24M +$19.9M $14.10 6
2019 Q2 141K $4.02M +$46.4K $13.50 5
2019 Q1 138K $3.94M +$136K $12.38 5
2018 Q4 9.27K $114K -$112K $12.20 2
2018 Q3 18.4K $210K -$38.5K $11.37 2
2018 Q2 21.8K $261K -$8.84K $12.02 3
2018 Q1 22.5K $287K +$10K $12.73 3
2017 Q4 21.7K $272K +$24.5K $12.51 3
2017 Q3 19.8K $244K $12.31 3
2017 Q2 19.8K $236K +$18.9K $11.94 3
2017 Q1 18.2K $218K $12.01 3
2016 Q4 18.2K $201K +$5.54K $11.08 3
2016 Q3 836 $11K $13.16 1
2016 Q2 836 $11K $13.16 1
2016 Q1 836 $10K $11.96 1