ISHARES TR - MSCI CHINA ETF (MCHI)

Historical Holders from Q1 2014 to Q3 2025

Symbol
MCHI
Type / Class
Equity / MSCI CHINA ETF
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
37,505,731
Holdings value
$2,463,630,474
% of all portfolios
0.01%
Number of holders
285
Number of buys
138
Number of sells
-109
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - MSCI CHINA ETF (MCHI)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 37,505,731 $2,463,630,474 +$268,657,293 $65.85 285
2025 Q2 33,814,525 $1,863,013,974 -$395,639,843 $55.1 266
2025 Q1 40,929,995 $2,225,159,464 +$318,218,352 $54.4 289
2024 Q4 35,303,946 $1,653,738,212 -$146,597,014 $46.86 250
2024 Q3 38,039,092 $1,930,356,254 -$668,073,581 $50.91 255
2024 Q2 51,362,379 $2,166,429,980 +$179,122,559 $42.17 269
2024 Q1 47,525,210 $1,889,364,515 -$839,294,159 $39.73 259
2023 Q4 68,944,123 $2,807,159,669 +$19,771,030 $40.74 282
2023 Q3 67,746,419 $2,929,476,065 +$50,684,002 $43.29 251
2023 Q2 66,773,231 $2,987,686,120 -$71,960,094 $44.74 267
2023 Q1 65,969,301 $3,290,343,616 +$96,792,371 $49.89 272
2022 Q4 64,051,919 $3,053,906,052 +$357,928,256 $47.5 240
2022 Q3 56,784,891 $2,414,249,562 +$341,041,403 $42.56 220
2022 Q2 48,278,507 $2,695,100,773 +$731,718,629 $55.81 251
2022 Q1 35,298,967 $1,872,921,679 +$364,480,449 $52.89 229
2021 Q4 28,107,652 $1,765,499,378 -$86,456,648 $62.77 236
2021 Q3 30,388,771 $2,053,328,819 -$309,454,479 $67.53 209
2021 Q2 34,812,431 $2,867,549,025 +$25,436,569 $82.44 236
2021 Q1 31,637,694 $2,584,482,286 -$556,209,531 $81.7 229
2020 Q4 38,258,375 $3,100,500,424 +$140,566,009 $80.97 234
2020 Q3 38,634,938 $2,864,819,375 +$14,526,428 $74.17 196
2020 Q2 37,383,774 $2,450,068,318 -$435,096,857 $65.45 174
2020 Q1 47,652,379 $2,729,112,716 -$166,829,423 $57.25 183
2019 Q4 41,171,838 $2,629,022,817 +$394,557,054 $64.09 189
2019 Q3 36,571,618 $2,051,491,344 -$351,909,056 $56.08 169
2019 Q2 41,296,305 $2,455,027,463 +$216,015,140 $59.45 169
2019 Q1 37,791,492 $2,359,595,808 +$213,858,449 $62.43 174
2018 Q4 35,688,763 $1,878,339,317 +$538,982,121 $52.62 146
2018 Q3 27,812,769 $1,665,503,347 +$1,730,601 $59.89 117
2018 Q2 24,910,058 $1,609,309,916 +$137,528,467 $64.6 128
2018 Q1 22,438,384 $1,537,874,302 +$161,011,441 $68.57 126
2017 Q4 19,884,673 $1,324,070,681 -$76,545,778 $66.54 110
2017 Q3 21,325,556 $1,344,915,328 +$15,906,064 $63.09 96
2017 Q2 21,677,662 $1,186,054,847 +$163,186,950 $54.69 93
2017 Q1 18,405,712 $918,795,444 -$162,575,219 $49.93 77
2016 Q4 21,737,349 $950,527,192 +$52,059,719 $43.73 70
2016 Q3 20,591,699 $998,319,888 +$105,252,480 $48.5 78
2016 Q2 18,651,029 $790,592,053 +$28,045,332 $42.39 69
2016 Q1 18,008,162 $765,459,235 -$185,547,899 $42.51 71
2015 Q4 18,622,995 $830,093,731 +$145,721,169 $44.62 72
2015 Q3 15,454,703 $676,856,704 +$27,786,449 $43.81 65
2015 Q2 14,624,792 $819,294,457 +$121,601,375 $56.04 81
2015 Q1 12,524,374 $682,138,564 +$185,573,124 $54.5 79
2014 Q4 9,201,086 $462,158,136 -$5,147,862 $50.23 67
2014 Q3 9,029,557 $427,894,780 +$136,208,529 $47.38 57
2014 Q2 6,617,714 $306,828,593 +$580,551 $46.37 55
2014 Q1 6,528,357 $293,693,000 -$54,060,570 $44.99 49