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iShares MSCI Emerging Markets ETF

Name Holding Trade Value Shares
Change
Change in
Stake
BA
1
Bridgewater Associates
Connecticut
$3.01B -$285M -7,207,648 -9%
Bank of America
2
Bank of America
North Carolina
$2.07B +$305M +7,715,483 +18%
OTPPB
3
Ontario Teachers' Pension Plan Board
Ontario, Canada
$1.34B +$586M +14,800,847 +82%
State of New Jersey Common Pension Fund D
4
State of New Jersey Common Pension Fund D
New Jersey
$1.03B +$88.7M +2,240,300 +10%
Morgan Stanley
5
Morgan Stanley
New York
$1B -$301M -7,612,149 -24%
Goldman Sachs
6
Goldman Sachs
New York
$800M -$153M -3,857,775 -16%
Caisse de Depot et Placement du Quebec (CDPQ)
7
Caisse de Depot et Placement du Quebec (CDPQ)
Quebec, Canada
$769M +$66.3M +1,674,800 +10%
Wells Fargo
8
Wells Fargo
California
$721M -$29.5M -744,391 -4%
BIT
9
BlackRock Institutional Trust
California
$695M +$93.3M +2,356,991 +16%
BlackRock
10
BlackRock
New York
$645M -$30.1M -761,299 -5%
Bank of New York Mellon
11
Bank of New York Mellon
New York
$630M +$243M +6,137,519 +66%
APG Asset Management
12
APG Asset Management
Netherlands
$583M +$135M +3,403,200 +31%
US Bancorp
13
US Bancorp
Minnesota
$527M -$5.27M -133,157 -1%
Barclays
14
Barclays
United Kingdom
$515M -$132M -3,333,856 -21%
BNP Paribas Financial Markets
15
BNP Paribas Financial Markets
France
$465M +$135M +3,403,850 +42%
NB
16
Norinchukin Bank
Japan
$458M
PNC Financial Services Group
17
PNC Financial Services Group
Pennsylvania
$449M +$6.41M +161,882 +1%
Retirement Systems of Alabama
18
Retirement Systems of Alabama
Alabama
$446M -$43.6M -1,100,000 -9%
JP Morgan Chase
19
JP Morgan Chase
New York
$434M +$30M +757,474 +8%
SIM
20
Strategic Investment Management
Virginia
$427M +$39.3M +991,830 +10%
Susquehanna International Group
21
Susquehanna International Group
Pennsylvania
$410M +$91.1M +2,300,906 +30%
MTB
22
Mizuho Trust & Banking
Japan
$374M
KCM
23
Kames Capital Management
United Kingdom
$371M +$360M +9,095,809 New
DCC
24
Dow Chemical Company
Michigan
$331M +$9.98M +252,000 +3%
Northern Trust
25
Northern Trust
Illinois
$323M -$53.1M -1,341,830 -14%