ISHARES CORE MSCI INTERNATIONAL DEVELOPED MARKETS ETF - Common Stock (IDEV)

Historical Holders from Q1 2016 to Q3 2025

Symbol
IDEV
Type / Class
Equity / Common Stock
Shares outstanding
266,939,847
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
231,687,288
Holdings value
$18,570,651,437
% of all portfolios
0.06%
Number of holders
569
Number of buys
294
Number of sells
-202
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ISHARES CORE MSCI INTERNATIONAL DEVELOPED MARKETS ETF - Common Stock (IDEV)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 5.9% $1,128,290,670 15,749,451 BlackRock, Inc. 31 Mar 2025

Institutional Holders of ISHARES CORE MSCI INTERNATIONAL DEVELOPED MARKETS ETF - Common Stock (IDEV)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 231,687,288 $18,570,651,437 +$439,907,777 $80.17 569
2025 Q2 226,718,872 $17,237,550,962 +$1,157,029,959 $76.04 557
2025 Q1 213,038,953 $14,667,234,326 +$2,182,770,392 $68.89 521
2024 Q4 181,520,650 $11,705,376,336 +$551,192,094 $64.47 514
2024 Q3 170,186,358 $12,051,135,337 +$476,014,809 $70.83 446
2024 Q2 165,276,492 $10,850,956,713 +$821,595,152 $65.64 430
2024 Q1 151,145,145 $10,145,001,402 +$443,812,678 $67.13 394
2023 Q4 144,751,449 $9,212,110,032 +$296,250,807 $63.66 390
2023 Q3 138,793,415 $8,089,286,900 +$232,235,405 $58.28 319
2023 Q2 134,678,917 $8,233,571,264 +$269,374,107 $61.12 313
2023 Q1 130,177,749 $7,866,642,682 +$675,455,059 $60.47 297
2022 Q4 119,207,370 $6,676,275,142 +$1,056,055,655 $55.98 280
2022 Q3 99,666,823 $4,815,837,021 +$494,331,987 $48.31 223
2022 Q2 89,657,300 $4,818,444,849 +$723,628,635 $53.74 231
2022 Q1 76,343,162 $4,860,186,208 +$604,068,442 $63.63 222
2021 Q4 66,709,618 $4,506,302,180 +$336,282,433 $67.56 212
2021 Q3 61,010,589 $4,078,331,838 +$225,070,661 $66.82 182
2021 Q2 57,831,647 $3,900,875,171 +$511,692,778 $67.45 181
2021 Q1 50,762,318 $3,277,462,421 +$239,058,873 $64.6 154
2020 Q4 47,073,674 $2,899,243,178 -$81,547,813 $61.63 138
2020 Q3 40,024,666 $2,159,304,004 +$109,261,581 $53.96 123
2020 Q2 37,178,181 $1,900,779,284 +$14,028,778 $51.11 102
2020 Q1 36,698,468 $1,627,833,000 +$411,085,039 $44.31 101
2019 Q4 27,517,497 $1,602,299,000 +$86,440,014 $58.17 96
2019 Q3 25,852,932 $1,413,423,000 +$121,618,278 $54.62 82
2019 Q2 23,624,325 $1,296,132,853 +$19,371,106 $54.81 70
2019 Q1 23,264,650 $1,261,142,000 -$71,785,880 $54.15 68
2018 Q4 24,651,762 $1,205,463,000 +$476,503,310 $48.85 65
2018 Q3 14,611,120 $829,177,000 -$14,142,407 $56.75 27
2018 Q2 14,997,692 $839,869,000 -$2,811,589 $56 25
2018 Q1 15,044,843 $873,953,000 -$15,031,966 $58.09 19
2017 Q4 15,301,040 $895,113,000 +$830,014,691 $58.5 16
2017 Q3 1,137,657 $64,016,000 +$34,364,484 $56.27 7
2017 Q2 552,861 $29,640,000 -$2,418,928 $53.61 4
2017 Q1 597,955 $30,556,000 +$30,556,000 $51.1 4
2016 Q3 0 $0 -$3,000 0
2016 Q2 1,000 $3,000 $3 1
2016 Q1 1,000 $3,000 $3 1