ISHARES MSCI UNITED KINGDOM ETF - Common Stock (EWU)

Historical Holders from Q1 2016 to Q3 2025

Symbol
EWU
Type / Class
Equity / Common Stock
Shares outstanding
66,724,481
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
41,093,664
Holdings value
$1,724,518,157
% of all portfolios
0%
Number of holders
232
Number of buys
104
Number of sells
-91
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ISHARES MSCI UNITED KINGDOM ETF - Common Stock (EWU)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock Portfolio Management LLC 8.1% +31.7% $226,834,546 +$1,887,685 5,404,683 +0.84% BlackRock Portfolio Management LLC 30 Sep 2025

Institutional Holders of ISHARES MSCI UNITED KINGDOM ETF - Common Stock (EWU)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 41,093,664 $1,724,518,157 +$10,099,775 $41.97 232
2025 Q2 40,940,156 $1,624,361,473 -$230,096,985 $39.72 231
2025 Q1 46,912,850 $1,737,292,821 +$12,176,519 $37.47 223
2024 Q4 44,875,941 $1,521,594,717 -$78,098,305 $33.90 213
2024 Q3 46,483,130 $1,739,035,891 -$25,617,896 $37.41 214
2024 Q2 45,232,423 $1,577,394,928 +$50,770,041 $34.88 216
2024 Q1 44,076,027 $1,507,650,142 +$29,285,593 $34.21 213
2023 Q4 43,070,614 $1,423,461,295 -$65,053,060 $33.05 231
2023 Q3 44,880,454 $1,421,244,562 -$70,166,260 $31.64 220
2023 Q2 46,753,968 $1,509,849,715 -$746,474,061 $32.35 230
2023 Q1 69,745,925 $2,250,482,000 +$500,430,162 $32.26 225
2022 Q4 54,320,693 $1,666,739,234 -$88,724,371 $30.66 239
2022 Q3 57,136,221 $1,503,198,540 -$50,323,603 $26.21 214
2022 Q2 58,674,078 $1,760,292,292 +$50,821,782 $29.96 234
2022 Q1 56,906,440 $1,914,901,030 +$334,645,956 $33.64 244
2021 Q4 46,848,657 $1,553,432,901 -$457,951,078 $33.14 221
2021 Q3 62,057,001 $2,003,052,369 -$39,571,180 $32.25 228
2021 Q2 63,274,748 $2,071,099,832 -$160,110,353 $32.70 237
2021 Q1 68,181,221 $2,135,273,273 +$356,527,506 $31.31 217
2020 Q4 56,851,030 $1,665,304,072 +$228,381,896 $29.29 184
2020 Q3 48,930,085 $1,247,632,050 +$57,572,557 $25.49 155
2020 Q2 48,428,537 $1,247,414,306 -$55,010,595 $25.76 168
2020 Q1 48,851,381 $1,165,360,987 -$77,442,874 $23.88 170
2019 Q4 50,871,916 $1,734,499,861 +$222,382,516 $34.10 201
2019 Q3 44,254,175 $1,390,836,521 -$12,638,637 $31.43 189
2019 Q2 44,622,324 $1,441,922,734 -$31,072,884 $32.32 189
2019 Q1 45,715,793 $1,509,036,573 +$194,141,347 $33.01 189
2018 Q4 40,247,047 $1,181,254,872 +$58,289,787 $29.35 177
2018 Q3 36,646,855 $1,250,455,076 -$88,925,062 $34.12 186
2018 Q2 39,460,107 $1,371,706,579 +$213,245,640 $34.78 185
2018 Q1 33,106,742 $1,150,487,953 -$630,791,491 $34.75 178
2017 Q4 51,471,474 $1,844,043,955 +$7,247,971 $35.82 167
2017 Q3 50,632,288 $1,764,488,446 +$463,829,368 $34.85 159
2017 Q2 38,505,941 $1,283,572,810 -$311,278,593 $33.33 164
2017 Q1 47,873,321 $1,557,733,301 +$602,223,320 $32.55 165
2016 Q4 32,833,307 $1,007,754,375 +$944,790,830 $30.69 152
2016 Q3 1,102,793 $17,468,000 +$17,468,000 $15.84 3
2016 Q2 0 $0 -$41,000 0
2016 Q1 1,216 $41,000 $33.72 1