ISHARES TR - PFD AND INCM SEC (PFF)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / PFD AND INCM SEC
Shares, excl. options Q3 2024
180M
Holdings value Q3 2024
$5.98B
Value change Q3 2024
+$93.1M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
982
Number of buys Q3 2024
467
Number of sells Q3 2024
-403
Average buys Q3 2024 %
+0.005%
Average sells Q3 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 180M $5.98B +$93.1M $33.23 983
2024 Q2 178M $5.62B -$444M $31.55 990
2024 Q1 191M $6.16B +$488M $32.23 1,025
2023 Q4 174M $5.44B +$381M $31.19 1,014
2023 Q3 160M $4.84B +$16.6M $30.15 945
2023 Q2 161M $4.98B +$110M $30.93 947
2023 Q1 157M $4.89B -$243M $31.22 934
2022 Q4 164M $5.01B -$362M $30.53 952
2022 Q3 176M $5.58B -$235M $31.67 930
2022 Q2 184M $6.04B -$352M $32.88 970
2022 Q1 194M $7.08B -$1.01B $36.42 1,034
2021 Q4 222M $8.73B +$295M $39.43 1,087
2021 Q3 211M $8.18B +$84.7M $38.81 960
2021 Q2 208M $8.16B +$647M $39.33 954
2021 Q1 192M $7.37B -$1.01B $38.40 945
2020 Q4 218M $8.37B +$1.39B $38.51 952
2020 Q3 178M $6.49B +$787M $36.45 805
2020 Q2 159M $5.52B +$155M $34.64 794
2020 Q1 156M $4.98B -$130M $31.84 777
2019 Q4 159M $5.97B +$26.5M $37.59 832
2019 Q3 157M $5.89B +$410M $37.53 745
2019 Q2 146M $5.38B +$253M $36.85 722
2019 Q1 139M $5.08B -$1.75M $36.55 708
2018 Q4 139M $4.78B -$825M $34.23 691
2018 Q3 161M $5.98B +$108M $37.13 686
2018 Q2 157M $5.92B +$157M $37.71 696
2018 Q1 153M $5.76B -$401M $37.56 694
2017 Q4 164M $6.25B -$603M $38.07 705
2017 Q3 175M $6.8B +$17.8M $38.81 647
2017 Q2 175M $6.84B +$473M $39.17 628
2017 Q1 163M $6.3B +$288M $38.70 622
2016 Q4 159M $5.9B +$61.8M $37.21 607
2016 Q3 155M $6.11B +$639M $39.50 563
2016 Q2 138M $5.5B +$365M $39.89 555
2016 Q1 129M $5.03B +$156M $39.03 527
2015 Q4 125M $4.87B +$175M $38.85 530
2015 Q3 120M $4.65B +$183M $38.60 488
2015 Q2 116M $4.55B +$20.8M $39.17 481
2015 Q1 115M $4.59B +$528M $40.11 484
2014 Q4 101M $3.99B +$303M $39.44 461
2014 Q3 91.9M $3.63B +$333M $39.52 405
2014 Q2 83.5M $3.33B +$300M $39.91 400
2014 Q1 75.1M $2.93B +$75.4M $39.03 376