All 1336 'I' 13F Securities

Filter securities by prefix to quickly locate symbols and classes across 13F datasets.

CMBS CUSIP 46429B366 Equity

Ishares Cmbs Etf

Security class
Common Stock
Holdings value
$340.09M
Net change Q2 2026
-$20.25M
Identifier
CUSIP 46429B366
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IEV CUSIP 464287861 Equity

Ishares Europe Etf

Security class
Common Stock
Holdings value
$768.94M
Net change Q2 2026
-$104.69M
Identifier
CUSIP 464287861
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IAU CUSIP 464285204 Equity

Ishares Gold Trust

Security class
ISHARES NEW
Holdings value
$29.05B
Net change Q2 2026
-$686.57M
Identifier
CUSIP 464285204
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EWJ CUSIP 46434G822 Equity

iShares, Inc.

Security class
Common Stock
Holdings value
$15.1B
Net change Q2 2026
+$1.03B
Identifier
CUSIP 46434G822
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EWT CUSIP 46434G772 Equity

iShares, Inc.

Security class
Common Stock
Holdings value
$5.65B
Net change Q2 2026
+$658.88M
Identifier
CUSIP 46434G772
Next action
Open holder history
EWP CUSIP 464286764 Equity

iShares, Inc.

Security class
Common Stock
Holdings value
$1.52B
Net change Q2 2026
+$14.61M
Identifier
CUSIP 464286764
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Open holder history
EWL CUSIP 464286749 Equity

iShares, Inc.

Security class
Common Stock
Holdings value
$1.32B
Net change Q2 2026
+$371.24M
Identifier
CUSIP 464286749
Next action
Open holder history
EWI CUSIP 46434G830 Equity

iShares, Inc.

Security class
Common Stock
Holdings value
$720.14M
Net change Q2 2026
+$141.4M
Identifier
CUSIP 46434G830
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LEMB CUSIP 464286517 Equity

iShares, Inc.

Security class
Common Stock
Holdings value
$479.47M
Net change Q2 2026
-$53.04M
Identifier
CUSIP 464286517
Next action
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EEMA CUSIP 464286426 Equity

iShares, Inc.

Security class
Exchange Traded Fund
Holdings value
$398.45M
Net change Q2 2026
-$554.66M
Identifier
CUSIP 464286426
Next action
Open holder history
EWQ CUSIP 464286707 Equity

iShares, Inc.

Security class
Common Stock
Holdings value
$334.1M
Net change Q2 2026
-$36.95M
Identifier
CUSIP 464286707
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Open holder history
EWD CUSIP 464286756 Equity

iShares, Inc.

Security class
Common Stock
Holdings value
$128.02M
Net change Q2 2026
+$549.8K
Identifier
CUSIP 464286756
Next action
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IEMG CUSIP 46434G103 Equity

Ishares Inc

Security class
CORE MSCI EMKT
Holdings value
$139.02B
Net change Q2 2026
-$814.13M
Identifier
CUSIP 46434G103
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EMXC CUSIP 46434G764 Equity

Ishares Inc

Security class
MSCI EMRG CHN
Holdings value
$19.34B
Net change Q2 2026
+$1.59B
Identifier
CUSIP 46434G764
Next action
Open holder history
EWY CUSIP 464286772 Equity

Ishares Inc

Security class
MSCI STH KOR ETF
Holdings value
$18.63B
Net change Q2 2026
+$2.07B
Identifier
CUSIP 464286772
Next action
Open holder history
EWZ CUSIP 464286400 Equity

Ishares Inc

Security class
MSCI BRAZIL ETF
Holdings value
$6.26B
Net change Q2 2026
+$1.26B
Identifier
CUSIP 464286400
Next action
Open holder history
ESGE CUSIP 46434G863 Equity

Ishares Inc

Security class
ESG AWR MSCI EM
Holdings value
$5.13B
Net change Q2 2026
-$99.84M
Identifier
CUSIP 46434G863
Next action
Open holder history
URTH CUSIP 464286392 Equity

Ishares Inc

Security class
MSCI WORLD ETF
Holdings value
$3.01B
Net change Q2 2026
-$298.49M
Identifier
CUSIP 464286392
Next action
Open holder history
EEMV CUSIP 464286533 Equity

Ishares Inc

Security class
MSCI EMERG MRKT
Holdings value
$2.05B
Net change Q2 2026
-$30.25M
Identifier
CUSIP 464286533
Next action
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ACWV CUSIP 464286525 Equity

Ishares Inc

Security class
MSCI GBL MIN VOL
Holdings value
$2.01B
Net change Q2 2026
-$93.2M
Identifier
CUSIP 464286525
Next action
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EPP CUSIP 464286665 Equity

Ishares Inc

Security class
MSCI PAC JP ETF
Holdings value
$1.56B
Net change Q2 2026
+$26.51M
Identifier
CUSIP 464286665
Next action
Open holder history
PICK CUSIP 46434G848 Equity

Ishares Inc

Security class
MSCI GBL ETF NEW
Holdings value
$1.32B
Net change Q2 2026
+$397.76M
Identifier
CUSIP 46434G848
Next action
Open holder history
EWW CUSIP 464286822 Equity

Ishares Inc

Security class
MSCI MEXICO ETF
Holdings value
$1.26B
Net change Q2 2026
-$84.57M
Identifier
CUSIP 464286822
Next action
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RING CUSIP 46434G855 Equity

Ishares Inc

Security class
MSCI GBL GOLD MN
Holdings value
$654.57M
Net change Q2 2026
-$308.01M
Identifier
CUSIP 46434G855
Next action
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DVYE CUSIP 464286319 Equity

Ishares Inc

Security class
EM MKTS DIV ETF
Holdings value
$643.43M
Net change Q2 2026
+$30.59M
Identifier
CUSIP 464286319
Next action
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SEC 13F Securities

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