ISHARES INC - MSCI CHILE ETF (ECH)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / MSCI CHILE ETF
Shares, excl. options Q3 2024
4.6M
Holdings value Q3 2024
$125M
Value change Q3 2024
-$14.4M
Grand Portfolio weight change Q3 2024
0%
Number of holders
54
Number of buys Q3 2024
26
Number of sells Q3 2024
-26
Average buys Q3 2024 %
+0%
Average sells Q3 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 4.6M $125M -$14.4M $27.28 54
2024 Q2 5.27M $136M -$4.59M $25.87 56
2024 Q1 5.45M $145M -$60.8M $26.57 53
2023 Q4 7.76M $219M +$30M $28.21 68
2023 Q3 6.08M $159M -$58.4M $26.19 66
2023 Q2 8.23M $240M +$36.9M $29.18 68
2023 Q1 6.71M $193M -$23.9M $28.78 71
2022 Q4 7.54M $203M -$17.7M $27.09 71
2022 Q3 8.11M $195M -$8.59M $24.00 69
2022 Q2 8.41M $202M -$21.2M $24.07 63
2022 Q1 9.16M $266M +$25M $29.07 66
2021 Q4 8.44M $195M +$24.7M $23.09 56
2021 Q3 7.26M $189M -$17.4M $26.00 55
2021 Q2 7.9M $229M +$71.5M $28.98 64
2021 Q1 5.16M $177M +$32.2M $34.25 72
2020 Q4 4.29M $130M -$43.3M $30.21 59
2020 Q3 5.75M $138M +$36.7M $24.09 57
2020 Q2 4.23M $106M -$44.6M $25.20 58
2020 Q1 6.01M $130M -$27.1M $21.68 58
2019 Q4 6.99M $233M +$101M $33.33 75
2019 Q3 3.61M $135M +$7.55M $37.44 60
2019 Q2 3.37M $138M -$13.5M $40.86 67
2019 Q1 3.75M $162M -$6.2M $43.18 84
2018 Q4 3.94M $163M -$24.1M $41.40 77
2018 Q3 4.28M $194M +$10.4M $45.31 81
2018 Q2 4.06M $187M -$36.1M $46.04 87
2018 Q1 4.66M $247M -$25.8M $53.02 102
2017 Q4 5.21M $272M +$48.7M $52.16 97
2017 Q3 4.22M $205M +$11.2M $48.62 86
2017 Q2 4.03M $168M -$33.4M $41.67 75
2017 Q1 4.74M $207M +$15.6M $43.56 86
2016 Q4 4.68M $175M +$64.8M $37.42 71
2016 Q3 2.81M $104M -$31.1M $36.89 61
2016 Q2 3.78M $139M +$10.6M $36.80 66
2016 Q1 3.45M $127M +$25.9M $36.90 55
2015 Q4 2.85M $91M -$44.7M $31.92 57
2015 Q3 4.16M $137M +$13.8M $32.96 55
2015 Q2 3.69M $141M +$51.9M $38.12 56
2015 Q1 2.38M $96M -$30.7M $40.29 47
2014 Q4 3.15M $126M -$28.2M $39.89 61
2014 Q3 3.66M $156M +$13M $42.63 64
2014 Q2 3.4M $154M +$9.92M $45.37 58
2014 Q1 3.18M $145M -$47.1M $45.55 67