Current Value of Holding

$6.45 Million

Shares

83 Thousand

% of Portfolio

0.01%

Average Buy Price

$67.9

Avg closing price
Price range

36 Ken Griffin BlackRock Institutional Trust Company N.A. - iShares MSCI EAFE ETF Trades

Ken Griffin's position in BlackRock Institutional Trust Company N.A. - iShares MSCI EAFE ETF is currently worth $533 Million. That's 0.54% of their equity portfolio (16th largest holding). The investor owns 20663.86% of the outstanding BlackRock Institutional Trust Company N.A. - iShares MSCI EAFE ETF stock. The first BlackRock Institutional Trust Company N.A. - iShares MSCI EAFE ETF trade was made in Q1 2014. Since then Ken Griffin bought shares 48 more times and sold shares on 45 occasions. The stake costed the investor $471 Million, netting the investor a gain of 13% so far.

Avg closing price
Price range
Sold 50.9% shares (-86 Thousand shares) Q4 2023
Avg closing price $70.68
Price range $65.84 - $75.47
Sold 51.6% shares (-180 Thousand shares) Q3 2023
Avg closing price $71.64
Price range $68.56 - $74.46
Sold 67.5% shares (-725 Thousand shares) Q2 2023
Avg closing price $72.62
Price range $70.67 - $73.90
Increased shares by 5276.3% (+1.05 Million shares) Q1 2023
Avg closing price $69.95
Price range $66.22 - $72.19
Sold 95.0% shares (-379 Thousand shares) Q4 2022
Avg closing price $62.64
Price range $55.71 - $67.79
New holding (+399 Thousand shares) Q3 2022
Avg closing price $62.33
Price range $55.54 - $66.76
Sold -417 Thousand shares Q2 2022
Avg closing price $68.06
Price range $61.48 - $74.59
New holding (+417 Thousand shares) Q1 2022
Avg closing price $74.79
Price range $66.84 - $79.66
Sold -120 Thousand shares Q4 2021
Avg closing price $79.20
Price range $76.40 - $81.83
Increased shares by 271.3% (+87.8 Thousand shares) Q3 2021
Avg closing price $80.01
Price range $76.90 - $82.13
Sold 80.6% shares (-135 Thousand shares) Q2 2021
Avg closing price $79.44
Price range $76.86 - $81.95
Sold 95.8% shares (-3.85 Million shares) Q1 2021
Avg closing price $75.30
Price range $72.39 - $76.92
New holding (+4.02 Million shares) Q3 2020
Avg closing price $63.99
Price range $61.10 - $65.92
Sold -842 Thousand shares Q2 2020
Avg closing price $57.82
Price range $50.90 - $64.65
Increased shares by 123.1% (+465 Thousand shares) Q1 2020
Avg closing price $63.47
Price range $46.50 - $70.38
Sold 76.5% shares (-1.23 Million shares) Q4 2019
Avg closing price $67.54
Price range $63.25 - $69.66
Sold 8.2% shares (-143 Thousand shares) Q3 2019
Avg closing price $64.44
Price range $61.30 - $66.68
Increased shares by 1442.5% (+1.64 Million shares) Q2 2019
Avg closing price $65.44
Price range $63.40 - $66.99
New holding (+113 Thousand shares) Q1 2019
Avg closing price $63.00
Price range $58.13 - $65.61
Sold -844 Thousand shares Q3 2018
Avg closing price $67.53
Price range $65.43 - $68.98

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