ISHARES TR - EXPANDED TECH (IGV)

Historical Holders from Q1 2014 to Q3 2025

Symbol
IGV
Type / Class
Equity / EXPANDED TECH
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
55,773,378
Holdings value
$6,412,921,700
% of all portfolios
0.02%
Number of holders
645
Number of buys
232
Number of sells
-333
Average buys %
+0%
Average sells %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - EXPANDED TECH (IGV)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 55,773,378 $6,412,921,700 -$2,486,201,131 $115.01 645
2025 Q2 75,847,859 $8,304,220,178 +$646,620,029 $109.5 678
2025 Q1 71,700,098 $6,381,322,191 +$1,531,982,863 $88.99 617
2024 Q4 56,644,797 $5,672,472,548 +$393,001,860 $100.12 612
2024 Q3 48,448,892 $4,346,856,035 -$104,839,769 $89.37 477
2024 Q2 50,596,688 $4,396,567,757 -$578,114,039 $86.9 475
2024 Q1 57,611,531 $4,911,532,917 +$3,702,686,400 $85.27 462
2023 Q4 11,537,222 $4,680,149,888 -$418,172,434 $405.64 470
2023 Q3 12,602,539 $4,301,278,109 +$95,938,000 $341.26 409
2023 Q2 12,185,345 $4,214,187,434 -$137,299,834 $345.91 404
2023 Q1 12,867,709 $3,919,153,447 +$152,438,008 $304.7 366
2022 Q4 12,148,742 $3,108,802,073 -$424,727,331 $255.85 369
2022 Q3 13,927,796 $3,485,818,573 +$980,940,416 $250.13 367
2022 Q2 9,827,217 $2,651,553,532 -$117,204,237 $269.61 376
2022 Q1 10,275,568 $3,543,528,453 -$343,028,376 $344.94 388
2021 Q4 12,353,787 $4,376,866,957 -$778,735,385 $397.65 412
2021 Q3 13,427,915 $5,361,425,412 +$931,319,583 $399.14 382
2021 Q2 11,103,720 $4,332,349,664 -$589,648,352 $390.04 369
2021 Q1 12,855,100 $4,389,988,239 -$755,688,027 $341.42 363
2020 Q4 14,515,507 $5,140,253,830 +$1,000,999,865 $354.1 392
2020 Q3 11,907,835 $3,705,370,027 +$196,552,150 $311.12 347
2020 Q2 11,190,631 $3,189,597,667 +$519,333,467 $284.25 323
2020 Q1 9,448,152 $1,988,996,599 -$134,556,379 $210.29 268
2019 Q4 9,796,922 $2,284,099,198 +$150,191,119 $233.04 258
2019 Q3 8,521,432 $1,805,528,556 -$15,326,599 $211.88 222
2019 Q2 8,580,211 $1,874,116,953 -$18,857,754 $218.46 227
2019 Q1 8,697,561 $1,833,907,719 +$432,176,645 $210.82 203
2018 Q4 6,671,682 $1,157,829,948 -$77,013,799 $173.52 180
2018 Q3 6,989,944 $1,432,240,543 -$25,956,330 $204.97 188
2018 Q2 7,214,075 $1,317,841,689 +$258,790,024 $182.68 170
2018 Q1 5,807,329 $985,577,274 +$80,008,691 $169.7 152
2017 Q4 5,350,511 $827,067,401 +$66,962,414 $154.57 136
2017 Q3 4,504,250 $658,824,017 -$39,653,045 $146.26 111
2017 Q2 4,775,078 $653,249,120 -$344,560,047 $136.78 104
2017 Q1 7,323,619 $926,199,254 -$136,665,835 $126.47 98
2016 Q4 8,527,081 $928,963,338 -$171,844,293 $108.84 98
2016 Q3 10,186,671 $1,156,259,149 -$478,278,382 $113.53 96
2016 Q2 14,460,051 $1,520,767,636 +$366,331,740 $105.17 102
2016 Q1 10,941,441 $1,101,440,031 +$145,438,292 $100.67 90
2015 Q4 9,482,662 $983,864,765 +$133,417,921 $103.8 91
2015 Q3 7,826,590 $741,327,522 +$81,265,762 $94.64 81
2015 Q2 6,964,937 $692,575,376 +$12,019,641 $99.47 82
2015 Q1 6,922,854 $665,328,579 +$6,745,774 $96.1 78
2014 Q4 6,867,123 $636,497,210 +$156,559,323 $92.8 79
2014 Q3 3,819,210 $330,262,566 -$58,686,643 $86.48 72
2014 Q2 4,508,122 $386,973,369 +$49,600,946 $86 72
2014 Q1 3,859,579 $320,630,177 +$14,812,863 $83.26 62