ISHARES TR - EMGR MKT INF ETF (EMIF)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / EMGR MKT INF ETF
Shares, excl. options Q2 2024
114K
Holdings value Q2 2024
$2.43M
Value change Q2 2024
-$1.58M
Grand Portfolio weight change Q2 2024
0%
Number of holders
9
Number of buys Q2 2024
4
Number of sells Q2 2024
-7
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 114K $2.43M -$1.58M $21.41 9
2024 Q1 187K $4.08M +$469K $21.89 11
2023 Q4 165K $3.54M -$111K $21.40 12
2023 Q3 170K $3.5M -$835K $20.63 11
2023 Q2 209K $4.59M -$612K $21.99 13
2023 Q1 237K $5.06M +$1.81M $21.36 11
2022 Q4 152K $3.17M +$500K $20.79 10
2022 Q3 129K $2.46M +$302K $18.96 10
2022 Q2 114K $2.48M -$1.31M $21.82 8
2022 Q1 172K $3.96M +$1.15M $23.01 8
2021 Q4 121K $2.97M -$616K $24.49 9
2021 Q3 146K $3.65M +$173K $25.02 13
2021 Q2 139K $3.39M +$37K $24.42 12
2021 Q1 137K $3.4M -$859K $24.75 12
2020 Q4 172K $4.22M -$51.5K $24.54 12
2020 Q3 179K $3.71M +$2.73M $20.77 12
2020 Q2 46.3K $1M +$69.7K $21.63 10
2020 Q1 44.2K $871K -$2.81M $19.72 9
2019 Q4 168K $5.3M -$1.15M $31.49 16
2019 Q3 206K $5.76M -$2.31M $28.03 14
2019 Q2 288K $8.32M +$1.19M $28.97 14
2019 Q1 247K $7.08M -$1.54M $28.63 17
2018 Q4 301K $8.34M -$2.94M $27.68 14
2018 Q3 405K $11.6M +$732K $28.49 17
2018 Q2 353K $9.94M -$983K $28.10 16
2018 Q1 387K $12.5M -$593K $32.31 15
2017 Q4 405K $13.3M -$794K $32.90 16
2017 Q3 427K $14.4M +$1.41M $33.78 18
2017 Q2 394K $12.6M +$140K $32.04 19
2017 Q1 390K $12.4M +$357K $31.72 22
2016 Q4 381K $10.7M -$202K $28.07 23
2016 Q3 389K $11.9M -$226K $30.65 24
2016 Q2 398K $11.8M -$2.04M $29.78 21
2016 Q1 466K $13.7M -$4.17M $29.54 21
2015 Q4 610K $16.6M +$553K $27.26 25
2015 Q3 561K $15.3M -$10.6M $27.28 21
2015 Q2 949K $31.5M +$11.3M $33.20 21
2015 Q1 610K $20M -$3.9M $32.86 21
2014 Q4 730K $23.7M -$7.16M $32.41 22
2014 Q3 912K $31.4M -$4.32M $34.47 26
2014 Q2 1.04M $36.6M -$4.22M $35.31 28
2014 Q1 1.16M $38.7M -$11.9M $33.51 28