Level Chart

Basic Info

Blackrock Inc (BLK) - iShares / ETF AUM is at a current level of 4.188T, up from 3.856T last quarter and up from 3.118T one year ago. This is a change of 8.63% from last quarter and 34.31% from one year ago.

Blackrock Inc iShares / ETF AUM represents the total value of assets held in the various iShares ETFs managed by BlackRock.

Region United States
Source FinChat.io

Data provided via FinChat.io

Stats

Last Value 4.188T
Latest Period Sep 2024
Last Updated Oct 31 2024, 08:51 EDT
Next Release Jan 31 2025, 08:30 EST (E)
Average Growth Rate 14.88%
Value from Last Quarter 3.856T
Change from Last Quarter 8.63%
Value from 1 Year Ago 3.118T
Change from 1 Year Ago 34.31%
Frequency Quarterly
Unit USD
Adjustment N/A

Historical Data

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Date Value
September 30, 2024 4.188T
June 30, 2024 3.856T
March 31, 2024 3.746T
December 31, 2023 3.499T
September 30, 2023 3.118T
June 30, 2023 3.216T
March 31, 2023 3.074T
December 31, 2022 2.910T
September 30, 2022 2.621T
June 30, 2022 2.784T
Date Value
March 31, 2022 3.150T
December 31, 2021 3.267T
September 30, 2021 3.039T
June 30, 2021 3.032T
March 31, 2021 2.814T
December 31, 2020 2.669T
September 30, 2020 2.321T
June 30, 2020 2.163T
March 31, 2020 1.852T
December 31, 2019 2.240T

Basic Info

Blackrock Inc (BLK) - iShares / ETF AUM is at a current level of 4.188T, up from 3.856T last quarter and up from 3.118T one year ago. This is a change of 8.63% from last quarter and 34.31% from one year ago.

Blackrock Inc iShares / ETF AUM represents the total value of assets held in the various iShares ETFs managed by BlackRock.

Region United States
Source FinChat.io

Data provided via FinChat.io

Stats

Last Value 4.188T
Latest Period Sep 2024
Last Updated Oct 31 2024, 08:51 EDT
Next Release Jan 31 2025, 08:30 EST (E)
Average Growth Rate 14.88%
Value from Last Quarter 3.856T
Change from Last Quarter 8.63%
Value from 1 Year Ago 3.118T
Change from 1 Year Ago 34.31%
Frequency Quarterly
Unit USD
Adjustment N/A

Related Securities

Symbol Name Change %
BLK BlackRock Inc 1.22%