ISHARES TR - MSCI ACWI ETF (ACWI) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / MSCI ACWI ETF
Symbol
ACWI
Price per share
$141.49
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
68,927,296
Total reported value
$9,527,507,017
% of total 13F portfolios
0.06%
Share change
-1,397,258
Value change
-$150,282,013
Number of holders
749
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 749 institutional investors reported holding 68,927,296 shares of ISHARES TR - MSCI ACWI ETF (ACWI).

Institutional Holders of ISHARES TR - MSCI ACWI ETF (ACWI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 4,468,482 $634,568,534 -$11,697,081 $141.49 142
2025 Q3 68,927,296 $9,527,507,017 -$150,282,013 $138.24 749
2025 Q2 71,862,413 $9,238,174,511 -$317,095,171 $128.60 707
2025 Q1 74,874,290 $8,714,649,509 -$471,872,906 $116.39 674
2024 Q4 79,359,636 $9,323,039,410 +$36,109,831 $117.50 715
2024 Q3 79,230,546 $9,471,209,839 -$1,364,678,001 $119.55 670
2024 Q2 93,892,947 $10,527,166,496 -$1,012,084,391 $112.40 677
2024 Q1 99,577,037 $10,964,363,111 -$1,250,175,175 $110.13 652
2023 Q4 108,500,237 $11,037,145,292 +$1,116,279,656 $101.77 677
2023 Q3 95,796,790 $8,862,631,112 -$42,524,633 $92.37 599
2023 Q2 98,315,909 $9,430,077,571 -$546,706,358 $95.94 594
2023 Q1 103,625,845 $9,443,098,483 -$464,674,417 $91.16 591
2022 Q4 110,359,071 $9,366,429,608 +$2,612,496,537 $84.88 595
2022 Q3 73,980,249 $5,763,862,114 -$1,230,753,668 $77.83 542
2022 Q2 89,360,482 $7,502,738,200 +$363,950,726 $83.89 555
2022 Q1 85,853,923 $8,566,095,863 -$806,516,366 $99.78 559
2021 Q4 89,443,588 $9,457,320,094 +$870,666,050 $105.78 558
2021 Q3 83,276,960 $8,333,102,628 -$28,334,560 $99.92 508
2021 Q2 87,452,054 $8,850,036,398 +$593,694,624 $101.19 514
2021 Q1 85,856,576 $8,172,056,424 -$414,852,888 $95.15 496
2020 Q4 81,279,159 $7,360,777,096 -$153,667,976 $90.72 500
2020 Q3 82,987,711 $6,632,897,101 +$117,235,810 $79.92 439
2020 Q2 82,901,294 $6,110,369,977 -$1,152,142,394 $73.72 436
2020 Q1 94,597,796 $5,919,624,929 +$2,250,768,458 $62.57 444
2019 Q4 56,985,330 $4,516,461,181 -$98,759,022 $79.25 459
2019 Q3 56,147,341 $4,140,449,278 +$78,703,334 $73.75 416
2019 Q2 53,955,887 $3,977,116,462 +$335,118,967 $73.71 397
2019 Q1 49,343,269 $3,560,705,837 -$1,854,055,646 $72.15 383
2018 Q4 75,624,781 $4,855,846,888 +$1,957,578,505 $64.16 390
2018 Q3 41,561,559 $3,085,923,972 +$188,964,052 $74.26 327
2018 Q2 41,177,534 $2,929,832,604 +$248,928,183 $71.12 311
2018 Q1 36,824,688 $2,630,357,665 -$806,301,120 $71.70 317
2017 Q4 47,504,469 $3,425,427,340 +$320,724,907 $72.09 316
2017 Q3 42,856,367 $2,950,532,002 +$334,394,244 $68.82 247
2017 Q2 37,427,664 $2,451,037,316 +$166,123,956 $65.49 238
2017 Q1 36,162,586 $2,287,582,252 +$22,589,341 $63.26 247
2016 Q4 36,586,367 $2,164,866,448 +$394,007,415 $59.17 231
2016 Q3 28,577,720 $1,688,659,040 -$170,001,374 $59.10 214
2016 Q2 31,700,143 $1,782,484,328 +$80,296,214 $56.23 207
2016 Q1 29,870,639 $1,673,044,977 -$762,466,754 $56.06 196
2015 Q4 43,554,644 $2,430,968,344 +$402,234,206 $55.82 212
2015 Q3 35,599,821 $1,923,146,972 +$511,617,382 $53.94 174
2015 Q2 25,476,125 $1,514,497,426 +$214,723,803 $59.45 184
2015 Q1 21,078,318 $1,265,343,629 -$517,726,018 $60.02 168
2014 Q4 29,791,847 $1,742,841,193 +$395,866,255 $58.50 174
2014 Q3 22,084,560 $1,300,413,932 +$41,750,949 $58.90 138
2014 Q2 21,352,846 $1,286,612,475 +$127,405,027 $60.26 135
2014 Q1 19,277,795 $1,120,730,988 -$223,532,202 $58.14 137