ISHARES - MRG RL ES CP ETF (REM)

Historical Holders from Q1 2014 to Q4 2021

Type / Class
Equity / MRG RL ES CP ETF
Symbol
REM
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES - MRG RL ES CP ETF (REM) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2021 Q4 0 $0 -$220,000 0
2021 Q3 6,071 $220,000 +$14,495 3,623.79% 1
2021 Q2 5,671 $211,000 -$42,721 3,720.68% 1
2021 Q1 6,865 $242,000 +$203,000 3,541.24% 2
2020 Q4 1,094 $35,000 -$34,000 3,199.27% 1
2020 Q3 2,396 $62,000 -$20,891 2,585.39% 2
2020 Q2 3,196 $79,000 -$3,114,000 2,470.92% 2
2020 Q1 169,726 $3,173,000 -$109,831 1,862.54% 4
2019 Q4 175,602 $7,819,000 -$496,155 4,453.69% 4
2019 Q3 187,134 $7,884,000 -$1,769,734 4,212.9% 5
2019 Q2 229,108 $9,664,000 -$2,120,280 4,216.04% 5
2019 Q1 279,369 $12,107,000 -$3,523,271 4,330.51% 5
2018 Q4 360,649 $14,405,000 -$2,964,457 3,996.17% 4
2018 Q3 430,921 $18,712,000 -$2,042,731 4,354.89% 6
2018 Q2 477,830 $20,807,000 +$9,894,702 4,345.06% 5
2018 Q1 249,994 $10,647,000 -$9,160,362 4,257.4% 4
2017 Q4 453,604 $20,323,000 -$5,157,619 4,519.96% 7
2017 Q3 546,033 $25,569,000 -$2,531,814 4,684.09% 7
2017 Q2 601,750 $27,915,000 +$6,302,434 4,637.63% 8
2017 Q1 465,869 $21,099,000 -$2,091,581 4,529.01% 8
2016 Q4 509,445 $21,487,000 -$379,698,675 4,206.3% 9
2016 Q3 32,293,943 $338,850,676 +$37,952,593 1,050.92% 145
2016 Q2 28,834,054 $295,819,936 +$103,172,835 1,026.02% 145
2016 Q1 18,436,736 $178,116,000 -$36,364,637 966.97% 101
2015 Q4 22,472,974 $215,003,707 -$15,682,062 955.99% 110
2015 Q3 23,513,702 $233,919,206 -$22,885,297 994.11% 108
2015 Q2 25,719,493 $272,351,128 -$22,340,209 1,058% 117
2015 Q1 27,282,477 $318,969,380 -$25,962,915 1,169.01% 122
2014 Q4 28,719,811 $336,387,567 +$23,030,331 1,171% 123
2014 Q3 25,959,368 $306,224,343 -$13,214,521 1,179% 115
2014 Q2 26,989,971 $340,996,522 +$20,637,295 1,263.97% 109
2014 Q1 25,408,975 $311,478,582 +$41,299,488 1,226% 109