US ETF · ETF

ISHARES INC IEMG

The iShares Core MSCI Emerging Markets ETF (IEMG) is an exchange-traded fund that is based on the MSCI Emerging Markets IMI index, a market-cap-weighted index of emerging-market firms, covering 99% of market capitalization. IEMG was launched on Oct 18, 2012 and is issued by BlackRock.

Exchange Traded Fund

Company profile

Business mix

  • IEMG was launched on Oct 18, 2012 and is issued by BlackRock.
  • The fund gives investors equity / diversified emerging mkts exposure through a listed ETF structure.
  • It tracks the MSCI Emerging Markets IMI index and is issued by BlackRock.
  • Portfolio breadth and cost are visible in 2869 holdings and a 0.09% expense ratio.

Current key questions

  • Does the fund's index exposure, fees, liquidity, and tracking quality fit the role investors expect it to play?
  • How concentrated is the portfolio by issuer, sector, country, factor, or duration risk?
  • Can flows, spreads, and market structure affect trading costs during volatile periods?
Holders 2 Current sample portfolio
Public mentions 0 Videos / interviews / letters

Current firm holders

Firm Weight Value Filing period
Bridgewater Associates Ray Dalio 0.4% $93.7M 2026-03-31
Gotham Asset Management Joel Greenblatt 0.3% $85.6M 2026-03-31

Recent trading changes over the last 2 quarters

Net buyers 2 Last 2 13F filing periods
Net reducers 0 Last 2 13F filing periods
Unchanged holders 0 Share count unchanged
Increase amount $36.3M Estimated from net added shares
Reduction amount $0 Estimated from net reduced shares
Net share change / base shares +25.4% +520,971 / 2,049,354
Bridgewater Associates Ray Dalio 2 filing periods
13F 2025-12-31 Filed 2026-02-13
Minor increase Shares 9.5% 13F value change +$8.9M
13F 2026-03-31 Filed 2026-05-15
Minor increase Shares 5.6% 13F value change +$8.2M
Settlement As of 13F 2026-03-31 · Filed 2026-05-15
Base shares 1,161,001 Last 2 periods +181,943 (+15.7%) Total shares 1,342,944 Value $93.7M
Gotham Asset Management Joel Greenblatt 2 filing periods
13F 2025-12-31 Filed 2026-02-17
Minor increase Shares 14.1% 13F value change +$9.6M
13F 2026-03-31 Filed 2026-05-15
Major increase Shares 21.1% 13F value change +$17.5M
Settlement As of 13F 2026-03-31 · Filed 2026-05-15
Base shares 888,353 Last 2 periods +339,028 (+38.2%) Total shares 1,227,381 Value $85.6M

Recent mentions

No public mentions.