ISHARES TR - CORE MSCI EAFE (IEFA) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / CORE MSCI EAFE
Symbol
IEFA
Price per share
$94.90
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
1,530,994,532
Total reported value
$136,907,439,874
% of total 13F portfolios
0.3%
Share change
+33,419,707
Value change
+$3,007,390,152
Number of holders
2,258
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 31 Dec 2025, 2,258 institutional investors reported holding 1,530,994,532 shares of ISHARES TR - CORE MSCI EAFE (IEFA).

Institutional Holders of ISHARES TR - CORE MSCI EAFE (IEFA) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 1,530,994,532 $136,907,439,874 +$3,007,390,152 $89.46 2,258
2025 Q3 1,488,086,253 $129,767,359,496 +$4,519,139,894 $87.31 2,113
2025 Q2 1,443,812,958 $120,400,019,084 +$1,218,805,875 $83.48 2,082
2025 Q1 1,433,511,586 $108,484,859,684 +$2,046,599,931 $75.65 2,015
2024 Q4 1,411,839,536 $99,254,550,211 +$2,850,006,780 $70.28 1,988
2024 Q3 1,360,987,410 $106,176,834,295 +$530,655,391 $78.05 1,843
2024 Q2 1,359,602,851 $98,777,013,962 -$1,176,516,543 $72.64 1,798
2024 Q1 1,372,579,595 $101,863,460,630 +$5,380,042,450 $74.22 1,775
2023 Q4 1,298,913,963 $91,360,513,293 +$2,575,573,005 $70.35 1,735
2023 Q3 1,251,960,802 $80,567,182,698 +$1,488,547,314 $64.35 1,575
2023 Q2 1,222,911,439 $82,547,504,976 +$2,749,182,170 $67.50 1,573
2023 Q1 1,170,901,546 $78,284,473,050 +$124,126,489 $66.85 1,541
2022 Q4 1,171,733,854 $72,256,699,982 +$775,546,773 $61.64 1,507
2022 Q3 1,170,803,149 $61,766,454,560 -$55,014,079 $52.67 1,398
2022 Q2 1,186,604,296 $69,826,737,119 -$1,061,213,511 $58.85 1,447
2022 Q1 1,204,419,741 $83,736,969,173 +$2,727,140,819 $69.51 1,511
2021 Q4 1,167,071,614 $87,073,936,283 +$3,314,134,184 $74.64 1,516
2021 Q3 1,095,658,595 $81,367,318,597 +$2,803,238,423 $74.25 1,324
2021 Q2 1,061,657,304 $79,526,093,028 +$4,874,408,974 $74.86 1,293
2021 Q1 996,258,099 $71,802,564,018 -$501,345,709 $72.05 1,279
2020 Q4 1,002,000,141 $69,261,254,878 -$398,626,279 $69.09 1,264
2020 Q3 991,046,797 $59,721,000,998 +$2,011,597,401 $60.28 1,087
2020 Q2 957,447,398 $54,745,692,290 -$4,058,635,971 $57.16 1,065
2020 Q1 1,018,881,052 $50,857,817,311 +$5,309,475,128 $49.89 1,029
2019 Q4 909,290,559 $59,351,986,960 +$2,937,000,263 $65.24 1,111
2019 Q3 858,978,019 $52,454,776,183 -$152,824,744 $61.07 944
2019 Q2 859,731,714 $52,770,812,145 +$4,138,750,712 $61.40 932
2019 Q1 794,100,101 $48,262,320,695 +$2,026,931,616 $60.77 910
2018 Q4 763,827,065 $42,035,038,217 +$684,298,430 $55.00 883
2018 Q3 743,406,748 $47,630,354,965 +$1,903,565,941 $64.08 748
2018 Q2 714,730,477 $45,296,599,590 +$1,349,943,907 $63.37 731
2018 Q1 693,947,107 $45,723,858,018 +$12,361,901,368 $65.88 697
2017 Q4 504,943,728 $33,375,733,981 +$2,962,561,384 $66.09 647
2017 Q3 457,475,168 $29,331,417,503 +$3,966,975,321 $64.17 529
2017 Q2 391,819,561 $23,855,856,714 +$6,103,681,147 $60.89 483
2017 Q1 295,412,750 $17,124,291,812 +$5,794,922,172 $57.95 437
2016 Q4 221,514,528 $11,885,758,490 +$2,594,678,768 $53.63 382
2016 Q3 173,157,682 $9,547,794,349 +$493,598,887 $55.14 328
2016 Q2 164,564,411 $8,540,041,684 +$658,154,100 $51.89 302
2016 Q1 149,641,060 $7,943,985,334 +$1,033,218,114 $53.14 273
2015 Q4 130,136,313 $7,071,209,412 +$2,775,993,649 $54.38 265
2015 Q3 77,927,725 $4,119,183,097 +$692,150,393 $52.81 203
2015 Q2 65,093,212 $3,794,222,141 +$778,585,769 $58.30 190
2015 Q1 51,690,136 $3,029,797,017 +$523,387,181 $58.49 163
2014 Q4 42,682,074 $2,360,954,006 +$485,493,897 $55.32 148
2014 Q3 32,369,950 $1,884,008,989 +$174,699,516 $58.24 117
2014 Q2 29,369,529 $1,826,573,394 +$394,044,675 $62.21 102
2014 Q1 23,024,999 $1,405,584,622 +$567,623,148 $61.07 86