XML 12 R2.htm IDEA: XBRL DOCUMENT v3.26.1
Shareholder Report
12 Months Ended
Apr. 30, 2026
USD ($)
Holding
Shareholder Report [Line Items]  
Document Type N-CSR
Amendment Flag false
Registrant Name iShares Inc
Entity Central Index Key 0000930667
Entity Investment Company Type N-1A
Document Period End Date Apr. 30, 2026
Shareholder Report Annual or Semi-Annual Annual Shareholder Report
C000110325  
Shareholder Report [Line Items]  
Fund Name iShares Asia/Pacific Dividend ETF
Trading Symbol DVYA
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about iShares Asia/Pacific Dividend ETF (the “Fund”) for the period of May 1, 2025 to April 30, 2026
Additional Information [Text Block] You can find additional information about the Fund at blackrock.com/fundreports. You can also request this information by contacting us at 1-800-iShares (1-800-474-2737).
Additional Information Phone Number 1-800-474-2737
Additional Information Website blackrock.com/fundreports
Expenses [Text Block]

What were the Fund costs for the last year?

(based on a hypothetical $10,000 investment)

Table Summary
Fund name
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
iShares Asia/Pacific Dividend ETF
$60
0.49%
Expenses Paid, Amount $ 60
Expense Ratio, Percent 0.49%
Performance Past Does Not Indicate Future [Text] Past performance is not an indication of future results.
Line Graph [Table Text Block]

Fund performance

Cumulative performance: May 1, 2016 through April 30, 2026

Initial investment of $10,000 

Growth of 10K Chart
Table Summary
Fund
S&P Developed ex US Broad Market Index (Net)
Dow Jones Asia/Pacific Select Dividend 50 Index (Net)
Apr 16
$10,000
$10,000
$10,000
May 16
$9,695
$9,895
$9,700
Jun 16
$9,916
$9,607
$9,926
Jul 16
$10,817
$10,097
$10,834
Aug 16
$10,854
$10,101
$10,874
Sep 16
$10,962
$10,246
$10,973
Oct 16
$10,832
$10,019
$10,846
Nov 16
$10,808
$9,837
$10,828
Dec 16
$10,812
$10,131
$10,839
Jan 17
$11,241
$10,459
$11,273
Feb 17
$11,549
$10,607
$11,582
Mar 17
$11,715
$10,873
$11,757
Apr 17
$11,613
$11,116
$11,660
May 17
$11,478
$11,513
$11,528
Jun 17
$11,746
$11,535
$11,802
Jul 17
$12,060
$11,883
$12,123
Aug 17
$12,021
$11,881
$12,083
Sep 17
$12,024
$12,180
$12,083
Oct 17
$12,011
$12,395
$12,076
Nov 17
$12,222
$12,535
$12,291
Dec 17
$12,584
$12,778
$12,663
Jan 18
$12,844
$13,371
$12,931
Feb 18
$12,118
$12,749
$12,199
Mar 18
$11,658
$12,543
$11,730
Apr 18
$11,868
$12,836
$11,949
May 18
$11,828
$12,609
$11,911
Jun 18
$11,505
$12,417
$11,592
Jul 18
$11,841
$12,656
$11,936
Aug 18
$11,433
$12,471
$11,523
Sep 18
$11,545
$12,550
$11,634
Oct 18
$10,899
$11,469
$10,986
Nov 18
$11,205
$11,486
$11,298
Dec 18
$10,694
$10,883
$10,787
Jan 19
$11,545
$11,688
$11,650
Feb 19
$11,698
$11,958
$11,806
Mar 19
$11,571
$11,990
$11,671
Apr 19
$11,770
$12,302
$11,880
May 19
$11,641
$11,690
$11,751
Jun 19
$11,969
$12,364
$12,091
Jul 19
$11,849
$12,201
$11,976
Aug 19
$11,457
$11,892
$11,579
Sep 19
$11,906
$12,235
$12,041
Oct 19
$12,159
$12,662
$12,305
Nov 19
$12,114
$12,822
$12,258
Dec 19
$12,248
$13,288
$12,397
Jan 20
$11,932
$12,995
$12,082
Feb 20
$10,758
$11,827
$10,894
Mar 20
$8,026
$10,125
$8,129
Apr 20
$9,121
$10,908
$9,282
May 20
$9,284
$11,422
$9,402
Jun 20
$9,478
$11,810
$9,618
Jul 20
$9,327
$12,165
$9,471
Aug 20
$9,896
$12,830
$10,055
Sep 20
$9,441
$12,539
$9,587
Oct 20
$9,373
$12,090
$9,523
Nov 20
$10,789
$13,933
$10,968
Dec 20
$11,017
$14,694
$11,204
Jan 21
$11,195
$14,572
$11,387
Feb 21
$12,097
$14,934
$12,310
Mar 21
$12,045
$15,269
$12,253
Apr 21
$12,125
$15,768
$12,344
May 21
$12,421
$16,285
$12,652
Jun 21
$12,104
$16,109
$12,335
Jul 21
$11,913
$16,172
$12,124
Aug 21
$11,853
$16,453
$12,103
Sep 21
$11,453
$15,952
$11,730
Oct 21
$11,547
$16,348
$11,746
Nov 21
$10,989
$15,537
$11,217
Dec 21
$11,483
$16,292
$11,698
Jan 22
$11,838
$15,421
$12,007
Feb 22
$11,883
$15,212
$12,108
Mar 22
$11,854
$15,363
$12,186
Apr 22
$11,273
$14,320
$11,611
May 22
$11,524
$14,408
$11,776
Jun 22
$10,629
$12,971
$10,815
Jul 22
$11,191
$13,659
$11,358
Aug 22
$10,775
$13,057
$11,088
Sep 22
$9,538
$11,734
$9,756
Oct 22
$9,323
$12,358
$9,502
Nov 22
$10,835
$13,669
$10,877
Dec 22
$11,239
$13,601
$11,481
Jan 23
$12,017
$14,724
$12,221
Feb 23
$11,415
$14,341
$11,680
Mar 23
$11,394
$14,637
$11,597
Apr 23
$11,457
$14,982
$11,636
May 23
$10,750
$14,410
$10,956
Jun 23
$11,284
$15,047
$11,479
Jul 23
$11,821
$15,589
$12,069
Aug 23
$11,421
$14,975
$11,708
Sep 23
$11,235
$14,436
$11,548
Oct 23
$10,866
$13,767
$11,047
Nov 23
$11,597
$15,107
$11,890
Dec 23
$12,808
$15,978
$13,127
Jan 24
$12,707
$15,926
$13,171
Feb 24
$12,948
$16,225
$13,265
Mar 24
$13,014
$16,772
$13,339
Apr 24
$13,025
$16,319
$13,503
May 24
$13,403
$16,892
$13,695
Jun 24
$12,895
$16,650
$13,253
Jul 24
$13,224
$17,207
$13,539
Aug 24
$13,706
$17,684
$14,112
Sep 24
$14,555
$17,895
$15,075
Oct 24
$13,876
$16,958
$14,269
Nov 24
$14,060
$16,973
$14,397
Dec 24
$13,575
$16,497
$13,984
Jan 25
$13,646
$17,272
$14,126
Feb 25
$13,535
$17,495
$13,889
Mar 25
$13,625
$17,412
$13,952
Apr 25
$13,878
$18,242
$14,312
May 25
$14,286
$19,152
$14,704
Jun 25
$14,952
$19,766
$15,352
Jul 25
$15,469
$19,622
$16,009
Aug 25
$16,429
$20,460
$16,948
Sep 25
$16,534
$20,958
$17,061
Oct 25
$17,002
$21,311
$17,527
Nov 25
$17,275
$21,462
$17,794
Dec 25
$17,670
$22,165
$18,241
Jan 26
$19,253
$23,526
$20,010
Feb 26
$20,598
$24,940
$21,344
Mar 26
$19,323
$22,173
$19,655
Apr 26
$20,097
$24,246
$20,597

See “Average annual total returns” for additional information on fund performance. 

No Deduction of Taxes [Text Block] Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.
AssetsNet $ 70,128,315
Holdings Count | Holding 54
Advisory Fees Paid, Amount $ 262,035
InvestmentCompanyPortfolioTurnover 47.00%
Additional Fund Statistics [Text Block]

Key Fund statistics

Table Summary
Net Assets........................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
$70,128,315
Number of Portfolio Holdings........................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
54
Net Investment Advisory Fees........................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
$262,035
Portfolio Turnover Rate........................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
47%
C000110341  
Shareholder Report [Line Items]  
Fund Name iShares Emerging Markets Dividend ETF
Trading Symbol DVYE
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about iShares Emerging Markets Dividend ETF (the “Fund”) for the period of May 1, 2025 to April 30, 2026
Additional Information [Text Block] You can find additional information about the Fund at blackrock.com/fundreports. You can also request this information by contacting us at 1-800-iShares (1-800-474-2737).
Additional Information Phone Number 1-800-474-2737
Additional Information Website blackrock.com/fundreports
Expenses [Text Block]

What were the Fund costs for the last year?

(based on a hypothetical $10,000 investment)

Table Summary
Fund name
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
iShares Emerging Markets Dividend ETF
$58
0.49%
Expenses Paid, Amount $ 58
Expense Ratio, Percent 0.49%
Performance Past Does Not Indicate Future [Text] Past performance is not an indication of future results.
Line Graph [Table Text Block]

Fund performance

Cumulative performance: May 1, 2016 through April 30, 2026

Initial investment of $10,000 

Growth of 10K Chart
Table Summary
Fund
S&P Emerging Broad Market Index (Net)
Dow Jones Emerging Markets Select Dividend Index (Net)
Apr 16
$10,000
$10,000
$10,000
May 16
$9,333
$9,676
$9,342
Jun 16
$9,986
$10,049
$9,996
Jul 16
$10,757
$10,527
$10,780
Aug 16
$10,769
$10,802
$10,801
Sep 16
$10,926
$10,924
$10,966
Oct 16
$11,086
$11,021
$11,134
Nov 16
$10,613
$10,498
$10,666
Dec 16
$10,771
$10,521
$10,819
Jan 17
$11,400
$11,060
$11,459
Feb 17
$12,047
$11,442
$12,097
Mar 17
$12,263
$11,685
$12,317
Apr 17
$12,322
$11,947
$12,371
May 17
$12,575
$12,144
$12,624
Jun 17
$12,514
$12,260
$12,556
Jul 17
$12,969
$13,004
$13,021
Aug 17
$13,398
$13,395
$13,465
Sep 17
$13,224
$13,319
$13,294
Oct 17
$13,291
$13,665
$13,366
Nov 17
$13,150
$13,701
$13,232
Dec 17
$13,541
$14,224
$13,632
Jan 18
$14,599
$15,445
$14,704
Feb 18
$14,246
$14,808
$14,344
Mar 18
$13,947
$14,415
$14,063
Apr 18
$13,616
$14,310
$13,722
May 18
$13,382
$13,894
$13,493
Jun 18
$13,010
$13,346
$13,112
Jul 18
$13,504
$13,706
$13,583
Aug 18
$13,139
$13,221
$13,228
Sep 18
$13,198
$13,038
$13,262
Oct 18
$12,739
$12,045
$12,805
Nov 18
$13,097
$12,600
$13,159
Dec 18
$12,807
$12,260
$12,855
Jan 19
$14,160
$13,212
$14,232
Feb 19
$13,965
$13,309
$14,049
Mar 19
$13,823
$13,538
$13,926
Apr 19
$13,981
$13,825
$14,092
May 19
$13,517
$13,002
$13,625
Jun 19
$14,297
$13,719
$14,415
Jul 19
$14,234
$13,627
$14,358
Aug 19
$13,371
$13,010
$13,492
Sep 19
$13,447
$13,187
$13,571
Oct 19
$13,745
$13,705
$13,878
Nov 19
$13,860
$13,724
$14,001
Dec 19
$14,733
$14,646
$14,883
Jan 20
$14,089
$14,015
$14,245
Feb 20
$12,890
$13,295
$13,035
Mar 20
$10,482
$11,037
$10,598
Apr 20
$11,402
$12,090
$11,564
May 20
$11,663
$12,240
$11,797
Jun 20
$11,754
$13,161
$11,889
Jul 20
$11,988
$14,262
$12,116
Aug 20
$11,913
$14,645
$12,042
Sep 20
$11,451
$14,321
$11,570
Oct 20
$11,382
$14,612
$11,508
Nov 20
$13,246
$15,904
$13,394
Dec 20
$14,374
$16,870
$14,546
Jan 21
$14,196
$17,352
$14,365
Feb 21
$14,796
$17,612
$15,007
Mar 21
$15,197
$17,335
$15,401
Apr 21
$15,451
$17,839
$15,663
May 21
$15,821
$18,109
$16,054
Jun 21
$15,620
$18,375
$15,830
Jul 21
$15,391
$17,265
$15,651
Aug 21
$15,979
$17,767
$16,267
Sep 21
$15,974
$17,208
$16,299
Oct 21
$15,905
$17,377
$16,178
Nov 21
$15,180
$16,763
$15,447
Dec 21
$15,956
$17,028
$16,235
Jan 22
$16,027
$16,866
$16,210
Feb 22
$14,109
$16,287
$15,052
Mar 22
$13,612
$15,912
$13,870
Apr 22
$12,795
$15,050
$13,090
May 22
$12,790
$15,051
$13,069
Jun 22
$11,348
$14,257
$11,543
Jul 22
$11,007
$14,186
$11,371
Aug 22
$10,973
$14,389
$11,342
Sep 22
$10,051
$12,913
$10,065
Oct 22
$10,117
$12,455
$10,149
Nov 22
$11,141
$14,105
$11,132
Dec 22
$11,053
$13,952
$11,132
Jan 23
$11,833
$14,879
$11,879
Feb 23
$11,179
$14,049
$11,246
Mar 23
$11,258
$14,348
$11,330
Apr 23
$11,515
$14,273
$11,570
May 23
$10,962
$13,978
$11,038
Jun 23
$11,617
$14,571
$11,689
Jul 23
$12,279
$15,455
$12,374
Aug 23
$11,595
$14,666
$11,736
Sep 23
$11,639
$14,389
$11,810
Oct 23
$11,451
$13,877
$11,438
Nov 23
$12,429
$14,873
$12,373
Dec 23
$13,336
$15,411
$13,331
Jan 24
$13,010
$14,876
$13,021
Feb 24
$13,214
$15,496
$13,223
Mar 24
$13,183
$15,694
$13,231
Apr 24
$13,679
$15,978
$13,813
May 24
$14,384
$16,161
$14,482
Jun 24
$14,108
$16,633
$14,250
Jul 24
$13,977
$16,714
$14,106
Aug 24
$14,304
$17,045
$14,449
Sep 24
$15,232
$18,356
$15,420
Oct 24
$14,807
$17,661
$14,752
Nov 24
$14,464
$17,169
$14,368
Dec 24
$14,513
$17,199
$14,452
Jan 25
$14,820
$17,249
$14,750
Feb 25
$14,740
$17,240
$14,665
Mar 25
$15,329
$17,348
$15,223
Apr 25
$15,225
$17,495
$15,153
May 25
$15,915
$18,264
$15,847
Jun 25
$16,471
$19,129
$16,335
Jul 25
$16,519
$19,428
$16,470
Aug 25
$17,151
$19,905
$17,031
Sep 25
$17,404
$20,993
$17,307
Oct 25
$17,858
$21,349
$17,777
Nov 25
$18,213
$20,987
$18,119
Dec 25
$18,530
$21,324
$18,503
Jan 26
$20,172
$22,495
$20,234
Feb 26
$20,910
$23,049
$20,902
Mar 26
$20,477
$20,708
$20,331
Apr 26
$20,825
$22,885
$20,754

See “Average annual total returns” for additional information on fund performance. 

No Deduction of Taxes [Text Block] Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.
AssetsNet $ 1,305,952,719
Holdings Count | Holding 109
Advisory Fees Paid, Amount $ 4,941,866
InvestmentCompanyPortfolioTurnover 55.00%
Additional Fund Statistics [Text Block]

Key Fund statistics

Table Summary
Net Assets........................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
$1,305,952,719
Number of Portfolio Holdings........................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
109
Net Investment Advisory Fees........................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
$4,941,866
Portfolio Turnover Rate........................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
55%