Comments
Loading...

iShares International Select Dividend ETF Rapporto sugli interessi allo scoperto

IDVBATS
Logo offerto da Benzinga Data
Commercio con il pubblico
Commercio con il pubblico

Report sulle vendite allo scoperto

Il short interest su iShares International Select Dividend ETF (BATS:IDV) è diminuito durante l'ultimo periodo di rilevazione, aumentando da 537.51K a 217.53K. Questo rappresenta il -% delle azioni disponibili pubblicamente dell'azienda.

L'interesse allo scoperto in iShares International Select Dividend ETF Corp (BATS:IDV) è diminuito durante l'ultimo periodo di rendicontazione, passando da 280,30 milioni a 275,20 milioni. Ciò ha portato allo scoperto l'1,17% delle azioni pubbliche della società.

Sulla base del volume medio recente di 620.13K azioni scambiate al giorno, ci vorrebbero 1 giorno(i) per chiudere le posizioni di questo interesse a breve senza spingere fortemente al rialzo il titolo.

Vendite allo scoperto
217.53K
Vendite allo scoperto %
Giorni di copertura
1
Get Alert
IDV
iShares International Select D
10/15/2025
10/24/2025
217,527
620,132
1
IDV
iShares International Select D
09/30/2025
10/09/2025
537,508
663,951
1
IDV
iShares International Select D
09/15/2025
09/24/2025
605,980
798,930
1
IDV
iShares International Select D
08/29/2025
09/10/2025
619,890
596,433
1.04
IDV
iShares International Select D
08/15/2025
08/26/2025
571,005
683,775
1
IDV
iShares International Select D
07/31/2025
08/11/2025
392,119
921,372
1
IDV
iShares International Select D
07/15/2025
07/24/2025
431,960
759,734
1
IDV
iShares International Select D
06/30/2025
07/10/2025
284,062
740,108
1
IDV
iShares International Select D
06/13/2025
06/25/2025
1,027,249
909,173
1.13
IDV
iShares International Select D
05/30/2025
06/10/2025
311,625
670,340
1
IDV
iShares International Select D
05/15/2025
05/27/2025
263,660
804,920
1
IDV
iShares International Select D
04/30/2025
05/09/2025
522,544
921,812
1
IDV
iShares International Select D
04/15/2025
04/25/2025
641,655
1,240,159
1
IDV
iShares International Select D
03/31/2025
04/09/2025
458,526
806,355
1
IDV
iShares International Select D
03/14/2025
03/25/2025
775,660
810,583
1
IDV
iShares International Select D
02/28/2025
03/11/2025
44,919
457,129
1
IDV
iShares International Select D
02/14/2025
02/26/2025
42,212
500,968
1
IDV
iShares International Select D
01/31/2025
02/11/2025
41,390
542,972
1
IDV
iShares International Select D
01/15/2025
01/27/2025
63,206
684,247
1
IDV
iShares International Select D
12/31/2024
01/10/2025
95,653
971,746
1
IDV
iShares International Select D
12/13/2024
12/24/2024
27,880
485,091
1
IDV
iShares International Select D
11/29/2024
12/10/2024
51,108
397,794
1
IDV
iShares International Select D
11/15/2024
11/26/2024
122,202
436,651
1
IDV
iShares International Select D
10/31/2024
11/11/2024
244,826
357,169
1
IDV
iShares International Select D
10/15/2024
10/24/2024
347,630
351,572
1
IDV
iShares International Select D
09/30/2024
10/09/2024
372,940
363,341
1.03
IDV
iShares International Select D
09/13/2024
09/24/2024
293,956
368,829
1
IDV
iShares International Select D
08/30/2024
09/11/2024
59,041
400,870
1
IDV
iShares International Select D
08/15/2024
08/26/2024
121,069
388,263
1
IDV
iShares International Select D
07/31/2024
08/09/2024
55,702
426,110
1
IDV
iShares International Select D
07/15/2024
07/24/2024
26,051
374,560
1
IDV
iShares International Select D
06/28/2024
07/10/2024
19,578
576,979
1
IDV
iShares International Select D
06/14/2024
06/26/2024
35,685
519,341
1
IDV
iShares International Select D
05/31/2024
06/11/2024
30,546
500,852
1
IDV
iShares International Select D
05/15/2024
05/24/2024
12,269
435,795
1
IDV
iShares International Select D
04/30/2024
05/09/2024
74,257
640,638
1
IDV
iShares International Select D
04/15/2024
04/24/2024
53,383
669,136
1
IDV
iShares International Select D
03/28/2024
04/09/2024
234,212
544,086
1
IDV
iShares International Select D
03/15/2024
03/26/2024
40,340
724,097
1
IDV
iShares International Select D
02/29/2024
03/11/2024
357,231
660,542
1
IDV
iShares International Select D
02/15/2024
02/27/2024
191,441
1,012,895
1
IDV
iShares International Select D
01/31/2024
02/09/2024
76,840
803,772
1
IDV
iShares International Select D
01/12/2024
01/24/2024
520,113
1,517,505
1
IDV
iShares International Select D
12/29/2023
01/10/2024
45,538
872,692
1
IDV
iShares International Select D
12/15/2023
12/27/2023
98,654
1,071,790
1
IDV
iShares International Select D
11/30/2023
12/11/2023
77,891
629,842
1
IDV
iShares International Select D
11/15/2023
11/27/2023
84,425
861,225
1
IDV
iShares International Select D
10/31/2023
11/09/2023
53,893
695,157
1