ISHARES TR - EUR DEV RE ETF (IFEU) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2020

Type / Class
Equity / EUR DEV RE ETF
Symbol
IFEU
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - EUR DEV RE ETF (IFEU) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2020 Q3 0 $0 -$5,722,000 0
2020 Q2 177,987 $5,722,000 +$872,442 $32.11 9
2020 Q1 152,168 $4,496,000 -$1,056,461 $29.54 11
2019 Q4 179,436 $7,463,000 +$1,525,123 $41.59 9
2019 Q3 122,175 $4,576,000 +$627,272 $37.45 7
2019 Q2 123,312 $4,463,000 -$2,185,708 $36.18 11
2019 Q1 182,114 $6,907,000 -$1,916,911 $37.91 13
2018 Q4 233,685 $8,046,000 -$4,348,489 $34.44 14
2018 Q3 357,212 $13,873,000 -$879,526 $38.82 17
2018 Q2 459,037 $18,247,000 -$726,814 $39.76 15
2018 Q1 396,051 $16,137,000 +$2,608,862 $40.74 16
2017 Q4 331,826 $13,666,000 -$91,577 $41.19 16
2017 Q3 349,159 $13,528,000 -$3,786,058 $38.74 17
2017 Q2 556,217 $20,750,000 -$3,399,084 $37.23 16
2017 Q1 653,650 $22,278,000 -$1,585,180 $34.09 19
2016 Q4 703,637 $23,337,601 -$19,230,878 $33.27 23
2016 Q3 1,282,232 $46,100,952 +$2,281,249 $36.86 23
2016 Q2 1,232,268 $43,944,802 +$6,857,054 $35.68 18
2016 Q1 1,024,354 $38,636,003 +$12,094,155 $37.85 25
2015 Q4 704,700 $26,460,900 +$999,729 $37.58 26
2015 Q3 661,716 $24,960,272 -$17,939,803 $38.36 24
2015 Q2 1,143,389 $42,261,015 -$21,010,553 $36.61 19
2015 Q1 1,685,635 $64,943,000 +$42,974,041 $38.52 17
2014 Q4 570,616 $20,826,388 -$2,340,907 $36.50 16
2014 Q3 645,076 $22,608,193 -$7,224,888 $35.05 22
2014 Q2 842,535 $32,220,126 +$11,159,129 $38.24 21
2014 Q1 549,968 $19,827,000 +$4,806,876 $36.06 16