iShares, Inc. - Common Stock (EWT)

Historical Holders from Q1 2016 to Q3 2025

Symbol
EWT
Type / Class
Equity / Common Stock
Shares outstanding
92,118,395
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
51,620,614
Holdings value
$3,267,288,814
% of all portfolios
0%
Number of holders
214
Number of buys
96
Number of sells
-80
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of iShares, Inc. - Common Stock (EWT)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 3.8% $162,668,189 3,500,499 BlackRock, Inc. 31 Mar 2025

Institutional Holders of iShares, Inc. - Common Stock (EWT)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 51,620,614 $3,267,288,814 -$388,992,512 $63.62 214
2025 Q2 58,908,420 $3,380,433,996 +$212,316,431 $57.4 205
2025 Q1 53,770,448 $2,550,736,763 -$212,952,522 $47.48 202
2024 Q4 57,724,508 $2,987,560,307 -$31,545,519 $51.76 206
2024 Q3 57,946,622 $3,121,581,643 -$541,559,267 $53.87 206
2024 Q2 69,423,062 $3,760,283,669 +$348,424,793 $54.19 204
2024 Q1 62,863,808 $3,058,277,771 +$43,230,583 $48.68 199
2023 Q4 62,384,727 $2,871,512,247 +$246,322,168 $46.03 215
2023 Q3 57,845,912 $2,576,619,508 +$163,115,541 $44.55 202
2023 Q2 53,118,845 $2,495,958,896 -$410,067,944 $47.02 212
2023 Q1 62,756,578 $2,842,891,121 +$66,786,852 $45.33 207
2022 Q4 61,662,732 $2,481,933,623 +$11,020,509 $40.16 201
2022 Q3 60,583,210 $2,610,227,885 -$256,136,952 $43.1 207
2022 Q2 67,794,694 $3,420,979,545 -$106,765,940 $50.42 218
2022 Q1 68,637,008 $4,219,112,025 -$199,478,681 $61.45 232
2021 Q4 71,749,581 $4,772,470,932 -$610,614,242 $66.61 240
2021 Q3 80,973,760 $5,022,305,787 +$315,499,490 $62.01 241
2021 Q2 75,761,770 $4,843,769,438 -$6,546,112 $63.95 257
2021 Q1 75,799,133 $4,545,548,063 +$2,084,891 $59.96 252
2020 Q4 76,110,003 $4,021,897,703 +$74,972,770 $53.08 230
2020 Q3 74,870,421 $3,360,481,604 +$226,668,905 $44.9 195
2020 Q2 69,986,992 $2,809,847,568 +$8,985,556 $40.22 179
2020 Q1 69,896,346 $2,305,621,015 -$63,989,651 $32.97 164
2019 Q4 71,157,720 $2,925,921,891 +$102,170,580 $41.13 176
2019 Q3 68,697,343 $2,498,429,113 -$244,224,401 $36.36 165
2019 Q2 75,156,021 $2,627,237,239 -$215,948,322 $34.96 168
2019 Q1 81,484,849 $2,814,373,028 -$208,839,458 $34.58 170
2018 Q4 87,765,445 $2,775,307,158 -$143,697,486 $31.62 167
2018 Q3 89,937,309 $3,390,765,468 -$143,876,305 $37.7 187
2018 Q2 94,075,471 $3,385,518,762 +$383,156,526 $36 184
2018 Q1 82,991,661 $3,180,587,649 -$126,019,660 $38.34 192
2017 Q4 85,748,091 $3,105,237,584 -$188,958,160 $36.21 182
2017 Q3 90,641,253 $3,271,704,570 -$235,717,219 $36.1 178
2017 Q2 97,440,727 $3,484,609,787 +$306,085,566 $35.76 186
2017 Q1 89,609,168 $2,977,149,458 +$577,221,478 $33.23 189
2016 Q4 76,466,511 $2,247,716,369 +$1,425,368,127 $29.37 171
2016 Q3 27,773,708 $436,048,000 +$436,048,000 $15.7 9
2016 Q2 0 $0 -$40,000 0
2016 Q1 1,161 $40,000 $34.45 1