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iShares MSCI Emerging Markets Indx shares owned by Barclays

Quarter-by-quarter ownership of iShares MSCI Emerging Markets Indx (EEM) shares owned by Barclays from 13F filings

Historical chart of Barclays investment in iShares MSCI Emerging Markets Indx

Tip: Access up to 7 years of quarterly data

All positions including iShares MSCI Emerging Markets Indx held by Barclays consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in iShares MSCI Emerging Markets Indx by Barclays

Quarter filed Position value Share count Share price at filing
2024-09-30 $1.9B 41M 45.85
2024-06-30 $869M 20M 42.60
2024-03-31 $1.1B 26M 41.09
2023-12-31 $1.1B 27M 40.21
2023-09-30 $85M 2.2M 37.89
2023-06-30 $152M 3.8M 39.49
2023-03-31 $1.9B 49M 39.46
2022-12-31 $1.3B 35M 37.90
2022-09-30 $286M 8.2M 34.91
2022-06-30 $1.4B 34M 40.08
2022-03-31 $436M 9.6M 45.17
2021-12-31 $1.8B 36M 48.82
2021-09-30 $2.3B 45M 50.41
2021-06-30 $1.8B 33M 55.15
2021-03-31 $1.8B 34M 53.34
2020-12-31 $2.4B 47M 51.63
2020-09-30 $2.5B 56M 44.09
2020-06-30 $2.3B 57M 39.99
2020-03-31 $2.4B 70M 34.13
2019-12-31 $2.8B 63M 44.87
2019-09-30 $2.3B 57M 40.87
2019-06-30 $2.0B 46M 42.91
2019-03-31 $1.9B 44M 42.92
2018-12-31 $1.4B 36M 39.06
2018-09-30 $1.6B 37M 42.92
2018-06-30 $2.9B 68M 43.33
2018-03-31 $2.4B 50M 48.28
2017-12-31 $2.1B 44M 47.12
2017-09-30 $2.7B 60M 44.84
2017-06-30 $2.0B 49M 41.39
2017-03-31 $2.7B 69M 39.39
2016-12-31 $2.1B 59M 35.01
2016-09-30 $2.6B 70M 37.45
2016-06-30 $2.0B 58M 34.36
2016-03-31 $1.7B 51M 34.00
2015-12-31 $1.2B 38M 32.00
2015-09-30 $1.3B 41M 32.79
2015-06-30 $1.7B 43M 39.61
2015-03-31 $1.1B 26M 40.14
2014-12-31 $1.7B 44M 39.00
2014-09-30 $2.4B 58M 41.57
2014-06-30 $3.3B 77M 43.00
2014-03-31 $2.1B 50M 41.00
2013-12-31 $1.4B 33M 41.00
2013-09-30 $2.4B 60M 40.00
2013-06-30 $1.6B 42M 38.50
2013-03-31 $3.8M 90k 42.78
2012-12-31 $3.6M 82k 44.35
2012-09-30 $3.2M 78k 41.33
2012-03-31 $902M 21M 42.94
2011-12-31 $6.7M 177k 37.95
2011-09-30 $11M 311k 35.09
2011-06-30 $13M 275k 47.59
2011-03-31 $13M 260k 48.67
2010-12-31 $428M 9.0M 47.64