ISHARES MORNINGSTAR MID CAP ETF - ETF (ICOL) Institutional Ownership

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

Type / Class
Equity / ETF
Symbol
ICOL
Price per share
$86.02
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
1,230,343
Total reported value
$105,828,929
% of total 13F portfolios
0%
Share change
+1,230,343
Value change
+$105,828,929
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 31 Dec 2025, 1 institutional investors reported holding 1,230,343 shares of ISHARES MORNINGSTAR MID CAP ETF - ETF (ICOL).

Institutional Holders of ISHARES MORNINGSTAR MID CAP ETF - ETF (ICOL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 1,230,343 $105,828,929 +$105,828,929 $86.02 1
2022 Q3 0 $0 -$13,786,518 $86.02 0
2022 Q2 1,529,526 $13,786,518 +$847,482 $9.01 10
2022 Q1 1,319,281 $16,324,000 +$314,335 $12.37 7
2021 Q4 1,321,228 $13,202,000 +$612,402 $9.99 8
2021 Q3 1,260,047 $12,979,000 -$740,895 $10.30 6
2021 Q2 1,333,682 $13,303,000 +$1,960,096 $9.98 8
2021 Q1 1,136,835 $11,640,000 -$66,757 $10.24 9
2020 Q4 1,141,212 $12,965,000 -$699,712 $11.40 7
2020 Q3 1,209,447 $10,060,000 -$615,038 $8.32 9
2020 Q2 1,283,487 $10,588,000 +$6,862,532 $8.19 10
2020 Q1 458,335 $3,373,000 -$427,567 $7.36 10
2019 Q4 493,676 $6,860,000 +$2,045,867 $13.90 14
2019 Q3 348,007 $4,418,000 +$803,345 $12.68 12
2019 Q2 283,450 $3,760,000 -$1,382,815 $13.25 10
2019 Q1 386,826 $5,254,000 -$2,898,243 $13.59 12
2018 Q4 654,239 $7,299,000 -$1,075,855 $11.15 13
2018 Q3 748,251 $10,346,000 +$2,638,178 $13.82 13
2018 Q2 557,470 $8,334,000 +$5,973,860 $14.95 11
2018 Q1 157,953 $2,362,000 -$627,236 $14.97 10
2017 Q4 202,098 $2,918,000 -$93,853 $14.44 10
2017 Q3 198,764 $2,910,000 +$1,337,450 $14.65 10
2017 Q2 107,563 $1,496,000 -$8,420 $13.87 6
2017 Q1 108,161 $1,499,000 -$289,564 $13.98 7
2016 Q4 120,165 $1,555,000 -$272,096 $12.91 9
2016 Q3 151,458 $2,010,000 +$8,225 $13.28 7
2016 Q2 152,752 $1,939,380 -$2,956,478 $12.72 8
2016 Q1 384,958 $4,895,600 +$3,207,719 $12.72 7
2015 Q4 138,033 $1,458,850 -$518,883 $10.56 8
2015 Q3 179,853 $2,051,000 -$813,472 $11.40 5
2015 Q2 221,906 $3,360,000 +$1,833,036 $14.99 6
2015 Q1 100,014 $1,486,000 +$411,282 $14.81 4
2014 Q4 61,244 $1,110,000 +$333,559 $17.95 5
2014 Q3 41,816 $1,057,000 -$643,249 $25.25 5
2014 Q2 65,133 $1,827,000 +$842,834 $28.05 5
2014 Q1 35,105 $918,000 -$369,796 $26.18 4