ISHARES TR - INTRM GOV CR ETF (GVI)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / INTRM GOV CR ETF
Shares, excl. options Q3 2024
28M
Holdings value Q3 2024
$2.99B
Value change Q3 2024
+$258M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
264
Number of buys Q3 2024
138
Number of sells Q3 2024
-92
Average buys Q3 2024 %
+0.002%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 28M $2.99B +$258M $107.10 264
2024 Q2 25.7M $2.67B +$31.1M $103.73 255
2024 Q1 25.6M $2.66B -$378M $103.98 259
2023 Q4 29M $3.04B +$392M $104.76 265
2023 Q3 25.2M $2.55B +$196M $101.33 235
2023 Q2 22.4M $2.3B +$212M $102.90 228
2023 Q1 20M $2.09B -$72.8M $104.49 210
2022 Q4 21.1M $2.16B +$203M $102.46 225
2022 Q3 18.3M $1.86B -$144M $101.69 211
2022 Q2 19.7M $2.08B +$60.1M $105.55 225
2022 Q1 19.2M $2.08B -$34.3M $108.53 215
2021 Q4 19.5M $2.22B +$140M $113.75 221
2021 Q3 18.1M $2.08B +$158M $115.13 204
2021 Q2 16.6M $1.92B +$50.5M $115.62 199
2021 Q1 16M $1.84B +$103M $114.86 203
2020 Q4 15.1M $1.77B +$50.9M $117.64 205
2020 Q3 14.6M $1.72B +$117M $117.74 195
2020 Q2 13.7M $1.62B -$124M $117.72 198
2020 Q1 14.9M $1.71B +$111M $114.72 212
2019 Q4 13.7M $1.55B +$97.6M $112.66 201
2019 Q3 12.8M $1.45B -$52.9M $113.22 198
2019 Q2 13.4M $1.5B -$46.9M $112.28 198
2019 Q1 13.8M $1.52B -$90.6M $110.26 199
2018 Q4 14.6M $1.58B +$218M $108.22 187
2018 Q3 12.4M $1.33B -$13.5M $107.35 171
2018 Q2 12.5M $1.35B +$82.6M $107.76 170
2018 Q1 11.5M $1.24B -$33.9M $108.28 172
2017 Q4 11.7M $1.28B -$12.6M $109.76 164
2017 Q3 11.7M $1.3B -$19.3M $110.90 147
2017 Q2 12M $1.33B -$492M $110.68 146
2017 Q1 16.4M $1.81B +$60.2M $110.20 151
2016 Q4 15.9M $1.74B +$164M $109.85 140
2016 Q3 14.3M $1.62B +$44.4M $112.84 132
2016 Q2 14M $1.58B +$6.84M $113.35 135
2016 Q1 13.8M $1.55B +$80.1M $112.06 127
2015 Q4 13.3M $1.46B +$11.7M $109.61 128
2015 Q3 13.1M $1.46B +$41.4M $111.09 119
2015 Q2 12.7M $1.41B +$76M $110.57 119
2015 Q1 12M $1.35B +$54.5M $111.80 117
2014 Q4 11.6M $1.28B +$133M $110.65 113
2014 Q3 10.3M $1.13B +$40M $110.25 108
2014 Q2 9.86M $1.09B +$70.8M $110.89 104
2014 Q1 9.25M $1.02B +$36.3M $110.01 100