ISHARES TR - U.S. REAL ES ETF (IYR)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / U.S. REAL ES ETF
Shares, excl. options Q3 2024
57.2M
Holdings value Q3 2024
$5.82B
Value change Q3 2024
+$2.62B
Grand Portfolio weight change Q3 2024
+0.005%
Number of holders
481
Number of buys Q3 2024
220
Number of sells Q3 2024
-175
Average buys Q3 2024 %
+0.006%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 57.2M $5.82B +$2.62B $101.87 495
2024 Q2 34.4M $3.02B -$1.81B $87.74 469
2024 Q1 51.8M $4.66B -$150M $89.90 471
2023 Q4 55.7M $5.09B +$1.48B $91.41 517
2023 Q3 39.1M $3.05B +$344M $78.14 459
2023 Q2 33.3M $2.88B -$1.27B $86.54 474
2023 Q1 47.6M $4.04B +$69.8M $84.90 490
2022 Q4 46.1M $3.89B -$250M $84.19 510
2022 Q3 49.1M $4B -$868M $81.42 489
2022 Q2 59.9M $5.51B +$371M $91.98 513
2022 Q1 55.5M $6.01B -$790M $108.22 537
2021 Q4 63.3M $7.34B -$1.02B $116.14 575
2021 Q3 71.5M $7.32B -$964M $102.39 492
2021 Q2 80.9M $8.25B +$3.4B $101.94 472
2021 Q1 48.6M $4.47B -$1.29B $91.94 437
2020 Q4 62.6M $5.36B +$2.16B $85.65 428
2020 Q3 36.5M $2.91B +$76.5M $79.84 397
2020 Q2 36.5M $2.87B -$378M $78.81 422
2020 Q1 41.2M $2.87B -$397M $69.57 446
2019 Q4 45.9M $4.27B -$84.2M $93.08 499
2019 Q3 46.6M $4.36B -$285M $93.54 448
2019 Q2 49.4M $4.31B +$209M $87.31 451
2019 Q1 47M $4.09B +$384M $87.04 460
2018 Q4 41.1M $3.09B -$1.51B $74.94 433
2018 Q3 63M $5.04B +$603M $80.02 397
2018 Q2 56.3M $4.54B +$204M $80.58 394
2018 Q1 55.1M $4.16B +$304M $75.47 373
2017 Q4 50.9M $4.12B +$14.1M $81.01 396
2017 Q3 50.5M $4.03B -$513M $79.88 357
2017 Q2 56.8M $4.53B -$433M $79.77 346
2017 Q1 62.3M $4.89B +$389M $78.49 341
2016 Q4 57.4M $4.41B -$355M $76.94 365
2016 Q3 60.8M $4.9B -$97.3M $80.64 346
2016 Q2 62.2M $5.12B -$63M $82.39 349
2016 Q1 63.1M $4.91B -$922M $77.86 327
2015 Q4 75.1M $5.63B -$711M $75.08 327
2015 Q3 83.9M $5.95B -$396M $70.95 304
2015 Q2 89.5M $6.38B -$472M $71.30 314
2015 Q1 95.7M $7.59B -$2.09B $79.32 344
2014 Q4 122M $9.41B -$930M $76.84 332
2014 Q3 136M $9.42B -$146M $69.20 290
2014 Q2 137M $9.84B -$507M $71.79 301
2014 Q1 144M $9.75B +$1.4B $67.67 294