Security Snapshot

ISHARES INC - MSCI EMRG CHN (EMXC) Institutional Ownership

CUSIP: 46434G764

13F Institutional Holders and Ownership History from Q3 2017 to Q1 2026

Latest Period

Q4 2025

Institutions Reporting

856

Shares (Excl. Options)

140,139,431

Price

$72.68

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Type / Class
Equity / MSCI EMRG CHN
Symbol
EMXC
Price per share
$78.66
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
140,139,431
Total reported value
$10,211,181,988
% of total 13F portfolios
0.04%
Share change
-769,739
Value change
-$20,870,331
Number of holders
856
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Quick Takeaways

  • EMXC - ISHARES INC - MSCI EMRG CHN is tracked under CUSIP 46434G764.
  • 856 institutions reported positions in Q4 2025.
  • Schedule 13D/13G significant owner rows are not currently available.

What Changed

  • Holder count moved from 856 to 334 between Q4 2025 and Q1 2026.
  • Reported value moved from $10,211,181,988 to $1,874,587,040.

Why This Matters

  • You can quickly see who holds this security, then open quarter and manager detail pages for full evidence.
  • 13F and Schedule 13D/13G sections are kept together so you can cross-check institutional and beneficial ownership context.

Source Evidence

Source: SEC Form 13F

Latest holder context comes from 856 institutions filings for Q4 2025.

Open SEC Evidence

Investment Quick Answers

What is CUSIP 46434G764?
CUSIP 46434G764 identifies EMXC - ISHARES INC - MSCI EMRG CHN in SEC 13F datasets.

Where can I see the latest institutional holders?
Review the Q4 2025 holders report and the ownership history table below.

As of 31 Dec 2025, 856 institutional investors reported holding 140,139,431 shares of ISHARES INC - MSCI EMRG CHN (EMXC).

Institutional Holders of ISHARES INC - MSCI EMRG CHN (EMXC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2026 Q1 23,789,089 $1,874,587,040 +$155,266,340 $78.66 334
2025 Q4 140,139,431 $10,211,181,988 -$20,870,331 $72.68 856
2025 Q3 138,267,818 $9,344,225,175 -$1,386,297,726 $67.51 783
2025 Q2 159,690,673 $10,083,282,276 -$3,901,241,728 $63.14 818
2025 Q1 223,290,184 $12,301,935,416 -$1,030,173,288 $55.09 861
2024 Q4 243,146,721 $13,486,438,986 -$165,913,998 $55.45 909
2024 Q3 242,912,638 $14,837,585,199 +$1,998,311,069 $61.11 851
2024 Q2 210,089,404 $12,435,807,887 +$663,360,131 $59.20 815
2024 Q1 198,886,940 $11,447,928,507 +$3,410,712,693 $57.57 753
2023 Q4 140,131,515 $7,760,157,974 +$2,760,191,804 $55.41 653
2023 Q3 88,857,567 $4,426,022,783 +$794,895,844 $49.83 451
2023 Q2 72,288,291 $3,757,995,507 +$946,212,663 $51.98 391
2023 Q1 54,067,522 $2,661,482,405 +$289,417,037 $49.33 347
2022 Q4 48,123,960 $2,280,245,908 +$486,106,611 $47.47 313
2022 Q3 38,010,344 $1,684,309,507 -$113,361,802 $44.28 273
2022 Q2 40,584,844 $1,939,961,076 +$238,983,207 $47.76 283
2022 Q1 35,151,240 $2,044,015,713 +$450,312,160 $58.18 283
2021 Q4 27,250,200 $1,652,383,343 +$502,704,100 $60.63 238
2021 Q3 18,947,673 $1,148,865,722 +$712,830,249 $60.64 162
2021 Q2 7,182,908 $448,027,495 +$145,153,353 $62.38 118
2021 Q1 4,822,215 $286,817,021 +$227,554,873 $59.46 94
2020 Q4 1,088,375 $61,956,972 +$16,004,067 $56.86 51
2020 Q3 603,915 $27,950,000 +$12,231,963 $46.27 29
2020 Q2 445,437 $19,118,000 +$15,342,695 $42.85 27
2020 Q1 88,444 $3,134,000 -$5,132,972 $35.43 12
2019 Q4 170,472 $8,735,000 -$4,205,603 $51.25 12
2019 Q3 200,745 $9,566,000 -$663,875 $47.70 6
2019 Q2 214,716 $10,704,000 +$7,295,626 $49.85 5
2019 Q1 68,357 $3,330,000 +$1,253,040 $49.09 5
2018 Q4 44,119 $2,017,000 -$2,069,807 $45.62 5
2018 Q3 89,347 $4,439,000 +$3,332,498 $49.52 4
2018 Q2 22,270 $1,082,000 -$4,512,880 $48.70 3
2018 Q1 104,767 $5,746,000 -$1,364,779 $54.45 6
2017 Q4 129,634 $6,991,000 -$2,748,420 $53.93 4
2017 Q3 180,598 $9,217,000 +$9,217,000 $50.52 4
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