ISHARES TR - FUTURE AI & TECH (ARTY)

Historical Holders from Q2 2018 to Q3 2025

Symbol
ARTY
Type / Class
Equity / FUTURE AI & TECH
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
15,290,462
Holdings value
$699,764,423
% of all portfolios
0%
Number of holders
270
Number of buys
164
Number of sells
-53
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - FUTURE AI & TECH (ARTY)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 15,290,462 $699,764,423 +$295,530,504 $45.78 270
2025 Q2 8,883,369 $363,826,313 +$38,833,112 $41 232
2025 Q1 8,077,492 $254,171,288 +$85,192,951 $31.45 211
2024 Q4 5,339,919 $197,993,161 +$31,996,955 $37.07 181
2024 Q3 4,404,154 $150,802,325 -$33,503,960 $34.24 167
2024 Q2 5,390,756 $179,091,627 +$17,534,020 $33.19 171
2024 Q1 4,837,893 $165,993,704 +$26,982,505 $34.35 158
2023 Q4 4,056,250 $139,842,922 +$19,263,686 $34.5 149
2023 Q3 3,445,782 $105,217,984 +$19,487,089 $30.54 123
2023 Q2 2,774,584 $91,698,641 +$29,257,775 $33.04 112
2023 Q1 1,886,891 $59,169,883 +$221,060 $31.38 85
2022 Q4 1,902,592 $48,576,171 +$418,964 $25.53 73
2022 Q3 1,980,506 $47,218,665 +$3,272,496 $23.83 69
2022 Q2 1,925,509 $50,889,318 -$7,668,452 $26.43 72
2022 Q1 1,997,554 $68,791,898 -$27,901,923 $34.38 80
2021 Q4 2,405,440 $99,419,689 -$3,054,079 $41.38 96
2021 Q3 2,452,870 $103,907,488 +$3,390,016 $42.35 89
2021 Q2 2,545,301 $114,224,952 +$1,432,299 $44.89 92
2021 Q1 2,513,647 $108,441,334 +$9,765,655 $43.13 81
2020 Q4 2,286,772 $91,120,725 +$36,508,561 $39.84 52
2020 Q3 1,370,289 $44,941,658 +$2,062,269 $32.75 40
2020 Q2 1,062,716 $31,420,064 +$20,199,838 $29.57 36
2020 Q1 533,150 $11,919,274 +$6,128,602 $22.36 22
2019 Q4 249,570 $6,720,593 +$2,308,356 $26.94 18
2019 Q3 170,528 $4,168,466 +$112,166 $24.44 16
2019 Q2 165,940 $4,129,512 -$1,000,940 $24.89 10
2019 Q1 208,490 $5,116,154 +$3,357,768 $24.52 12
2018 Q4 71,718 $1,445,674 -$1,516,910 $20.11 6
2018 Q3 118,298 $2,973,759 -$11,271,908 $25.13 5
2018 Q2 588,175 $13,969,000 +$13,969,000 $23.75 3