ISHARES - EXCHANGE TRADED (EWJ)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Debt / EXCHANGE TRADED
Principal, excl. options Q3 2024
10.5K
Holdings value Q3 2024
$751K
Value change Q3 2024
$0
Grand Portfolio weight change Q3 2024
0%
Number of holders
2
Number of buys Q3 2024
0
Number of sells Q3 2024
0
Average buys Q3 2024 %
0
Average sells Q3 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Principal Value Change Price Investors
2024 Q3 $10.5K $751K $0 $41.77 2
2024 Q2 $15K $1.02M -$10.1K $67.65 3
2024 Q1 $15.1K $1.08M +$23K $71.35 3
2023 Q4 $15.3K $982K -$50.6K $63.66 3
2023 Q3 $16.5K $992K +$359K $60.29 3
2023 Q2 $10.5K $650K $0 $36.95 2
2023 Q1 $10.5K $616K $0 $35.35 2
2022 Q4 $10.5K $572K -$307K $33.22 2
2022 Q3 $16.8K $820K -$1K $48.80 2
2022 Q2 $16.8K $888K -$920K $52.71 3
2022 Q1 $32.2K $1.98M -$1.43M $61.61 4
2021 Q4 $55.4K $3.71M +$2.58M $66.89 4
2021 Q3 $16.9K $1.19M -$14.6K $70.29 2
2021 Q2 $17.1K $1.16M -$748K $67.51 2
2021 Q1 $28K $1.92M -$154K $68.53 3
2020 Q4 $30.3K $2.05M +$864K $67.60 6
2020 Q3 $17.5K $1.04M -$48.3K $59.03 4
2020 Q2 $18.3K $1.01M -$258K $55.49 4
2020 Q1 $23.5K $1.16M -$13.3M $49.38 6
2019 Q4 $248K $14.7M +$4.46M $59.24 10
2019 Q3 $174K $9.89M -$97.5K $56.75 9
2019 Q2 $176K $9.62M -$487K $54.67 11
2019 Q1 $185K $10.1M -$1.46M $54.75 10
2018 Q4 $214K $10.9M -$3.68M $50.69 10
2018 Q3 $278K $16.7M -$4.35M $60.23 12
2018 Q2 $352K $20.4M -$1.98M $57.91 11
2018 Q1 $387K $23.5M -$105K $60.67 13
2017 Q4 $354K $21.2M +$2.63M $59.87 15
2017 Q3 $297K $16.5M -$13.1M $55.72 14
2017 Q2 $542K $28.6M -$410K $53.65 13
2017 Q1 $550K $28M -$9.64M $51.51 15
2016 Q4 $700K $33.7M -$6.9B $48.86 22
2016 Q3 $550M $6.88B -$459M $12.54 318
2016 Q2 $592M $6.81B -$1.01B $11.50 339
2016 Q1 $673M $7.68B -$973M $11.41 368
2015 Q4 $761M $9.21B -$51.9M $12.12 378
2015 Q3 $750M $8.57B +$714M $11.43 358
2015 Q2 $697M $8.91B +$1.29B $12.81 362
2015 Q1 $590M $7.39B +$979M $12.53 338
2014 Q4 $512M $5.76B -$359M $11.24 302
2014 Q3 $538M $6.33B +$138M $11.77 305
2014 Q2 $526M $6.33B +$351M $12.04 312
2014 Q1 $497M $5.63B +$145M $11.33 303