ISHARES TR - EXPND TEC SC ETF (IGM)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / EXPND TEC SC ETF
Shares, excl. options Q3 2024
25.6M
Holdings value Q3 2024
$2.45B
Value change Q3 2024
+$106M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
379
Number of buys Q3 2024
160
Number of sells Q3 2024
-121
Average buys Q3 2024 %
+0.001%
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 25.6M $2.45B +$106M $95.94 382
2024 Q2 24.5M $2.31B +$153M $94.31 368
2024 Q1 22.5M $1.94B +$1.55B $86.18 334
2023 Q4 4.01M $1.8B +$156M $448.18 317
2023 Q3 3.59M $1.38B -$22.6M $382.18 283
2023 Q2 3.65M $1.44B -$31.7M $392.87 287
2023 Q1 3.7M $1.26B +$74.7M $339.32 257
2022 Q4 3.5M $990M -$503M $280.00 246
2022 Q3 5.36M $1.48B -$497M $276.41 251
2022 Q2 7.21M $2.12B +$52.1M $294.39 267
2022 Q1 6.89M $2.67B +$1.29B $388.63 285
2021 Q4 3.57M $1.56B +$36M $439.02 274
2021 Q3 3.59M $1.45B -$8.5M $403.65 253
2021 Q2 3.6M $1.45B -$97M $403.98 262
2021 Q1 3.86M $1.39B -$40.6M $360.85 241
2020 Q4 3.96M $1.39B +$19.6M $349.83 245
2020 Q3 3.87M $1.2B +$62.8M $309.06 211
2020 Q2 3.66M $1.02B +$54.8M $279.14 195
2020 Q1 3.47M $736M +$66M $211.77 168
2019 Q4 3.16M $765M -$93.8M $242.15 165
2019 Q3 3.21M $696M +$24M $217.02 155
2019 Q2 3.1M $668M -$8.22M $215.65 149
2019 Q1 3.15M $650M -$26.5M $206.21 148
2018 Q4 3.31M $569M -$73.5M $171.71 142
2018 Q3 3.68M $771M +$114M $209.38 137
2018 Q2 3.19M $615M -$133M $192.89 128
2018 Q1 3.89M $697M +$133M $179.43 128
2017 Q4 3.18M $537M -$71M $168.79 121
2017 Q3 3.54M $549M +$21.8M $155.28 115
2017 Q2 3.36M $486M -$11.5M $144.64 105
2017 Q1 3.44M $476M -$16M $138.46 101
2016 Q4 3.56M $440M -$10.8M $123.81 100
2016 Q3 3.57M $441M +$116M $123.61 95
2016 Q2 2.68M $295M -$57.1M $109.98 87
2016 Q1 3.17M $351M -$66.6M $110.66 88
2015 Q4 3.83M $419M +$55.2M $110.69 99
2015 Q3 3.26M $328M +$33.5M $100.30 83
2015 Q2 2.94M $304M +$29.1M $103.60 91
2015 Q1 2.65M $273M -$22.5M $103.12 89
2014 Q4 2.87M $293M -$4.53M $101.91 82
2014 Q3 2.93M $287M +$16.7M $97.89 79
2014 Q2 2.78M $265M -$7.91M $95.19 75
2014 Q1 2.85M $260M -$30.4M $90.98 77