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IHEIHE
30 quarters

Position history for UBS Group AGUBS Group AG's holdings in ISHARES TR

UBS Group AG holds 110,100 shares of IHE (ISHARES TR), worth $10.9M as of 2026-Q2. The position was increased (+177.5% shares). IHE represents 0.0% of UBS Group AG's portfolio.

Current Value

$10.9M

Current Shares

110,100

Total Value Change

+$8.9M

Total Shares Change

+97,253

Quarter-by-Quarter History
QuarterActionSharesChangeValueWeightPriceConviction
2026-Q2
Latest
Increased
110,100
+177.5%
$10.9M0.0%$99.01
45
2026-Q1
Increased
39,680
+2.2%
$3.4M0.0%$89.70
27
2025-Q4
Increased
38,810
+15.0%
$3.3M0.0%$85.58
30
2025-Q3
Decreased
33,747
-18.5%
$2.4M0.0%$70.18
0
2025-Q2
Increased
41,406
+12.9%
$2.7M0.0%$64.79
30
2025-Q1
Increased
36,666
+2.7%
$2.6M0.0%$67.48
27
2024-Q4
Decreased
35,701
-3.1%
$2.3M0.0%$64.07
0
2024-Q3
Increased
36,864
+1.4%
$2.6M0.0%$68.47
27
2024-Q2
Decreased
36,363
-5.2%
$2.4M0.0%$64.47
0
2024-Q1
Increased
38,360
+166.4%
$2.6M0.0%$65.72
42
2023-Q4
Decreased
14,399
-2.3%
$2.7M0.0%$59.57
0
2023-Q3
Decreased
14,740
-2.4%
$2.6M0.0%$56.74
0
2023-Q2
Decreased
15,096
-50.0%
$2.7M0.0%$56.63
0
2023-Q1
Decreased
30,178
-1.6%
$5.3M0.0%$55.29
0
2022-Q4
Increased
30,660
+12.6%
$5.7M0.0%$58.95
30
2022-Q3
Increased
27,229
+95.5%
$4.6M0.0%$53.65
43
2022-Q2
Increased
13,929
+45.7%
$2.7M0.0%$59.90
36
2022-Q1
Decreased
9,562
-6.9%
$1.9M0.0%$61.10
0
2021-Q4
Decreased
10,267
-5.3%
$2.1M0.0%$62.06
0
2021-Q3
Decreased
10,837
-51.7%
$2M0.0%$57.09
0
2021-Q2
Increased
22,445
+103.0%
$4.2M0.0%$57.31
43
2021-Q1
Decreased
11,054
-10.8%
$2M0.0%$53.97
0
2020-Q4
Increased
12,398
+9.4%
$2.2M0.0%$54.46
28
2020-Q3
Increased
11,333
+0.1%
$1.9M0.0%$49.16
26
2020-Q2
Increased
11,323
+2.4%
$1.7M0.0%$45.89
26
2020-Q1
Increased
11,062
+11.7%
$1.5M0.0%$41.04
29
2019-Q4
Increased
9,900
+7.9%
$1.6M0.0%$48.01
28
2019-Q3
Decreased
9,174
-11.2%
$1.3M0.0%$41.74
0
2019-Q2
Decreased
10,332
-19.6%
$1.6M0.0%$45.06
0
2019-Q1
New
12,847
-
$2M0.0%$45.84
36

Other major holders of IHE: Steward Partners Investment Advisory, LLC, Fisher Asset Management, LLC

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