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iShares MSCI Hong Kong Index Fund shares owned by Hsbc Holdings

Quarter-by-quarter ownership of iShares MSCI Hong Kong Index Fund (EWH) shares owned by Hsbc Holdings from 13F filings

Historical chart of Hsbc Holdings investment in iShares MSCI Hong Kong Index Fund

Tip: Access up to 7 years of quarterly data

All positions including iShares MSCI Hong Kong Index Fund held by Hsbc Holdings consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in iShares MSCI Hong Kong Index Fund by Hsbc Holdings

Quarter filed Position value Share count Share price at filing
2026-03-31 $5.9M 255k 23.09
2025-12-31 $3.3M 156k 21.25
2025-06-30 $253k 13k 19.86
2025-03-31 $234k 13k 17.51
2024-06-30 $254k 17k 15.30
2023-12-31 $177k 10k 17.37
2023-09-30 $349k 20k 17.15
2023-06-30 $384k 20k 19.33
2023-03-31 $400k 19k 20.61
2022-12-31 $408k 19k 21.01
2022-09-30 $322k 22k 14.49
2022-06-30 $9.0M 395k 22.73
2022-03-31 $12M 426k 28.99
2021-12-31 $5.7M 196k 28.99
2021-09-30 $4.9M 203k 23.97
2021-06-30 $8.7M 327k 26.71
2021-03-31 $8.2M 307k 26.58
2020-12-31 $13M 536k 24.64
2020-09-30 $11M 517k 21.92
2020-06-30 $7.9M 369k 21.36
2020-03-31 $6.9M 343k 20.11
2019-12-31 $8.3M 342k 24.33
2019-09-30 $7.4M 327k 22.71
2019-06-30 $12M 479k 25.89
2019-03-31 $8.8M 334k 26.21
2018-12-31 $8.3M 367k 22.57
2018-09-30 $8.8M 368k 23.92
2018-06-30 $8.9M 368k 24.21
2018-03-31 $8.2M 326k 25.32
2017-12-31 $8.3M 325k 25.41
2017-09-30 $7.9M 320k 24.69
2017-06-30 $9.4M 401k 23.43
2017-03-31 $9.7M 435k 22.26
2016-12-31 $8.5M 437k 19.48
2016-09-30 $9.7M 442k 22.01
2016-06-30 $8.6M 438k 19.58
2016-03-31 $9.8M 496k 19.77
2015-12-31 $9.5M 480k 19.82
2015-09-30 $9.9M 517k 19.13
2015-06-30 $11M 500k 22.56
2015-03-31 $11M 513k 21.93
2014-12-31 $9.5M 465k 20.53
2014-09-30 $9.5M 469k 20.33
2014-06-30 $9.8M 470k 20.88
2014-03-31 $11M 548k 19.79
2013-12-31 $9.7M 466k 20.72
2013-09-30 $9.0M 449k 20.03
2013-06-30 $8.1M 444k 18.32
2013-03-31 $18k 917 19.63
2012-12-31 $8.6M 444k 19.42
2012-09-30 $7.9M 436k 18.20
2012-06-30 $7.3M 441k 16.44
2012-03-31 $62M 3.5M 17.45