ISHARES TR - EXPANDED TECH (IGV)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / EXPANDED TECH
Shares, excl. options Q3 2024
48.2M
Holdings value Q3 2024
$4.32B
Value change Q3 2024
-$82.8M
Grand Portfolio weight change Q3 2024
0%
Number of holders
461
Number of buys Q3 2024
161
Number of sells Q3 2024
-221
Average buys Q3 2024 %
+0.003%
Average sells Q3 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 48.2M $4.32B -$82.8M $89.37 466
2024 Q2 50.3M $4.37B -$604M $86.90 473
2024 Q1 57.6M $4.91B +$3.7B $85.27 461
2023 Q4 11.5M $4.68B -$399M $405.64 468
2023 Q3 12.6M $4.29B +$91.2M $341.26 406
2023 Q2 12.2M $4.21B -$137M $345.91 403
2023 Q1 12.9M $3.92B +$168M $304.70 363
2022 Q4 12.1M $3.09B -$423M $255.85 370
2022 Q3 13.9M $3.48B +$981M $250.13 368
2022 Q2 9.82M $2.65B -$117M $269.61 375
2022 Q1 10.3M $3.54B -$343M $344.94 388
2021 Q4 12.3M $4.37B -$779M $397.65 420
2021 Q3 13.4M $5.36B +$931M $399.14 392
2021 Q2 11.1M $4.33B -$585M $390.04 377
2021 Q1 12.8M $4.38B -$754M $341.42 375
2020 Q4 14.5M $5.13B +$997M $354.10 399
2020 Q3 11.9M $3.7B +$199M $311.12 350
2020 Q2 11.2M $3.18B +$516M $284.25 330
2020 Q1 9.44M $1.99B -$131M $210.29 270
2019 Q4 9.77M $2.28B +$150M $233.04 267
2019 Q3 8.5M $1.8B -$15.4M $211.88 228
2019 Q2 8.56M $1.87B -$19.6M $218.46 230
2019 Q1 8.68M $1.83B +$432M $210.82 211
2018 Q4 6.65M $1.15B -$77.1M $173.52 182
2018 Q3 6.97M $1.43B -$25.8M $204.97 189
2018 Q2 7.2M $1.31B +$258M $182.68 170
2018 Q1 5.79M $983M +$79.8M $169.70 152
2017 Q4 5.34M $825M +$66.3M $154.57 137
2017 Q3 4.49M $657M -$39.5M $146.26 110
2017 Q2 4.77M $652M -$346M $136.78 104
2017 Q1 7.32M $926M -$118M $126.47 98
2016 Q4 8.37M $911M -$165M $108.84 97
2016 Q3 10.2M $1.16B -$478M $113.53 96
2016 Q2 14.5M $1.52B +$366M $105.17 102
2016 Q1 10.9M $1.1B +$145M $100.66 90
2015 Q4 9.48M $984M +$133M $103.80 91
2015 Q3 7.83M $741M +$81.3M $94.64 81
2015 Q2 6.96M $693M +$12M $99.47 82
2015 Q1 6.92M $665M +$6.75M $96.10 78
2014 Q4 6.86M $636M +$157M $92.80 78
2014 Q3 3.82M $330M -$58.7M $86.48 72
2014 Q2 4.5M $387M +$56.5M $86.00 71
2014 Q1 3.85M $321M +$14.8M $83.26 61