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iShares MSCI Emerging Markets Indx shares owned by Franklin Resources

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

Historical chart of Franklin Resources 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 Franklin Resources 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 Franklin Resources

Quarter filed Position value Share count Share price at filing
2024-06-30 $20M 472k 42.59
2024-03-31 $20M 482k 41.08
2023-12-31 $20M 494k 40.21
2023-09-30 $21M 555k 37.95
2023-06-30 $23M 570k 39.56
2023-03-31 $23M 587k 39.46
2022-12-31 $22M 592k 37.90
2022-09-30 $22M 635k 34.88
2022-06-30 $23M 579k 40.10
2022-03-31 $31M 682k 45.15
2021-12-31 $34M 692k 48.85
2021-09-30 $34M 671k 50.38
2021-06-30 $34M 611k 55.15
2021-03-31 $33M 615k 53.34
2020-12-31 $32M 619k 51.67
2020-09-30 $26M 585k 44.09
2020-06-30 $25M 565k 43.53
2020-03-31 $22M 647k 34.13
2019-12-31 $36M 804k 44.87
2019-09-30 $33M 796k 40.87
2019-06-30 $35M 814k 42.91
2019-03-31 $37M 862k 42.92
2018-12-31 $33M 855k 39.06
2018-09-30 $36M 836k 42.92
2018-06-30 $36M 825k 43.33
2018-03-31 $40M 831k 48.28
2017-12-31 $38M 812k 47.12
2017-09-30 $37M 818k 44.81
2017-06-30 $35M 847k 41.39
2017-03-31 $33M 825k 39.39
2016-12-31 $28M 803k 35.01
2016-09-30 $30M 787k 37.45
2016-06-30 $27M 790k 34.36
2016-03-31 $28M 816k 34.25
2015-12-31 $28M 857k 32.19
2015-09-30 $36M 1.1M 32.78
2015-06-30 $60M 1.5M 39.62
2015-03-31 $96M 2.4M 40.13
2014-12-31 $67M 1.7M 39.29
2014-09-30 $70M 1.7M 41.56
2014-06-30 $64M 1.5M 43.23
2013-12-31 $69M 1.6M 41.77
2013-09-30 $65M 1.6M 40.77
2013-06-30 $94M 2.4M 38.57
2013-03-31 $72M 1.7M 42.78
2012-12-31 $163M 3.7M 44.35
2012-09-30 $128M 3.1M 41.32
2012-06-30 $106M 2.7M 39.19
2012-03-31 $80M 1.9M 42.94
2011-12-31 $159M 4.2M 37.94
2011-09-30 $66M 1.9M 35.07
2011-06-30 $95M 2.0M 47.60
2011-03-31 $98M 2.0M 48.69
2010-12-31 $109M 2.3M 47.62