iShares 7-10 Year Treasury Bond ETF - COMMON STOCK (IEF)

Historical Holders from Q1 2014 to Q3 2025

Symbol
IEF
Type / Class
Equity / COMMON STOCK
Shares outstanding
363M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
350M
Holdings value
$33.8B
% of all portfolios
0.106%
Grand Portfolio weight change
+0.006%
Number of holders
990
Number of buys
559
Number of sells
-407
Average Value change %
0%
Average buys %
+0.014%
Average sells %
-0.016%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of iShares 7-10 Year Treasury Bond ETF - COMMON STOCK (IEF)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FMR LLC 7.4% $2.55B 26.9M FMR LLC 31 Mar 2025

Institutional Holders of iShares 7-10 Year Treasury Bond ETF - COMMON STOCK (IEF)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 350M $33.8B +$3.56B $96.46 990
2025 Q2 315M $30.1B +$80.8M $95.77 1,010
2025 Q1 314M $29.9B +$2.22B $95.37 978
2024 Q4 292M $27B -$1.57B $92.45 973
2024 Q3 307M $30.1B +$3.69B $98.12 940
2024 Q2 270M $25.4B +$1.25B $93.65 896
2024 Q1 256M $24.3B +$1.01B $94.66 889
2023 Q4 245M $23.6B -$2.13B $96.39 895
2023 Q3 265M $24.3B +$73.7M $91.59 788
2023 Q2 263M $25.4B -$215M $96.60 798
2023 Q1 265M $26.3B +$7.14B $99.12 778
2022 Q4 192M $18.4B +$810M $95.78 718
2022 Q3 181M $17.3B +$2.45B $95.99 696
2022 Q2 157M $16.1B +$3.41B $102.30 692
2022 Q1 123M $13.2B +$244M $107.47 673
2021 Q4 120M $13.8B +$2.79B $115.00 678
2021 Q3 90.6M $10.4B +$342M $115.22 606
2021 Q2 87.9M $10.2B -$1.19B $115.49 606
2021 Q1 99M $11.2B +$1.2B $112.93 628
2020 Q4 87.9M $10.5B -$4.1B $119.95 684
2020 Q3 123M $15B -$1.41B $121.82 647
2020 Q2 134M $16.3B +$1.19B $121.87 624
2020 Q1 124M $15B -$95.7M $121.48 597
2019 Q4 125M $13.8B -$181M $110.22 561
2019 Q3 125M $14.1B +$1.26B $112.47 516
2019 Q2 114M $12.6B +$2.7B $110.02 494
2019 Q1 90M $9.6B +$1.36B $106.67 443
2018 Q4 77.4M $8.06B +$748M $104.20 428
2018 Q3 67M $6.78B +$469M $101.17 375
2018 Q2 61.8M $6.35B +$401M $102.51 378
2018 Q1 58.6M $6.05B +$835M $103.19 385
2017 Q4 50.4M $5.31B -$75.5M $105.57 399
2017 Q3 50.3M $5.36B -$281M $106.52 356
2017 Q2 52.8M $5.63B +$562M $106.61 362
2017 Q1 47.5M $5.02B +$127M $105.59 346
2016 Q4 46.7M $4.91B -$511M $104.82 345
2016 Q3 50.5M $5.66B -$721M $111.88 345
2016 Q2 57.5M $6.49B -$693M $112.95 353
2016 Q1 62.9M $6.94B +$1.08B $110.34 338
2015 Q4 53M $5.59B -$1.38B $105.59 304
2015 Q3 66M $7.12B +$2.31B $107.87 269
2015 Q2 44.6M $4.69B +$46.8M $105.01 243
2015 Q1 44.1M $4.78B -$355M $108.39 248
2014 Q4 47.9M $5.07B +$1.37B $105.99 257
2014 Q3 32.9M $3.4B -$1.38B $103.62 201
2014 Q2 46.2M $4.78B +$1.52B $103.58 198
2014 Q1 31.6M $3.22B +$294M $101.73 190