ISHARES INC - MSCI GBL MIN VOL (ACWV)

Historical Holders from Q1 2014 to Q3 2025

Symbol
ACWV
Type / Class
Equity / MSCI GBL MIN VOL
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
16.8M
Holdings value
$2.02B
% of all portfolios
0.009%
Grand Portfolio weight change
0%
Number of holders
302
Number of buys
97
Number of sells
-137
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES INC - MSCI GBL MIN VOL (ACWV)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 16.8M $2.02B -$139M $119.92 302
2025 Q2 18M $2.14B +$40.2M $118.57 319
2025 Q1 17.6M $2.05B +$27.8M $116.37 325
2024 Q4 17.5M $1.91B -$175M $109.20 315
2024 Q3 19M $2.18B -$22.5M $114.53 312
2024 Q2 19.2M $2.01B -$109M $104.64 303
2024 Q1 20.3M $2.13B -$9.74M $105.27 301
2023 Q4 20.4M $2.05B -$361M $100.35 302
2023 Q3 23.8M $2.27B -$218M $95.42 288
2023 Q2 26.3M $2.58B -$458M $98.06 291
2023 Q1 31M $3B +$156M $96.75 295
2022 Q4 29.5M $2.8B +$111M $95.02 305
2022 Q3 28M $2.48B +$53.8M $88.56 290
2022 Q2 27.6M $2.61B -$74.7M $94.50 299
2022 Q1 29.2M $3.06B -$273M $104.82 307
2021 Q4 33.3M $3.6B +$53.3M $108.28 312
2021 Q3 26.1M $2.68B +$122M $102.73 284
2021 Q2 24.8M $2.56B -$155M $102.86 283
2021 Q1 26.5M $2.61B -$461M $98.66 277
2020 Q4 31.1M $3.02B -$156M $96.91 298
2020 Q3 31.8M $2.92B -$86.2M $91.91 254
2020 Q2 32.7M $2.87B +$165M $87.58 251
2020 Q1 30.9M $2.48B +$104M $80.34 245
2019 Q4 29.2M $2.8B +$78.2M $95.83 265
2019 Q3 28M $2.65B +$131M $94.75 224
2019 Q2 26.6M $2.45B +$231M $92.12 220
2019 Q1 24M $2.15B +$161M $89.48 199
2018 Q4 22.2M $1.81B +$314M $81.26 184
2018 Q3 18.1M $1.59B -$22.6M $87.87 168
2018 Q2 18.3M $1.52B -$77.5M $83.05 166
2018 Q1 19.3M $1.62B +$67.4M $83.82 172
2017 Q4 18.5M $1.56B -$130M $84.32 166
2017 Q3 18.3M $1.49B +$129M $81.38 133
2017 Q2 16.8M $1.33B +$112M $79.10 132
2017 Q1 15.3M $1.18B +$23.6M $77.13 121
2016 Q4 16.3M $1.19B -$45.9M $72.61 120
2016 Q3 16.9M $1.28B +$69.2M $76.19 109
2016 Q2 16M $1.22B +$103M $76.37 98
2016 Q1 14.5M $1.06B +$44.8M $73.49 83
2015 Q4 13.9M $964M +$134M $69.27 80
2015 Q3 11.9M $795M +$120M $66.96 66
2015 Q2 10.2M $709M +$17.2M $69.69 57
2015 Q1 9.92M $711M +$383M $71.69 59
2014 Q4 4.58M $315M +$77.3M $68.84 56
2014 Q3 2.93M $196M -$24.6M $66.72 46
2014 Q2 3.3M $220M +$53M $66.80 42
2014 Q1 2.51M $162M -$19.1M $64.35 35