ISHARES TR - 10+ YR INVST GRD (IGLB)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / 10+ YR INVST GRD
Shares, excl. options Q3 2024
35.5M
Holdings value Q3 2024
$1.9B
Value change Q3 2024
+$315M
Grand Portfolio weight change Q3 2024
+0.001%
Number of holders
187
Number of buys Q3 2024
105
Number of sells Q3 2024
-75
Average buys Q3 2024 %
+0.005%
Average sells Q3 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 35.5M $1.9B +$315M $53.59 189
2024 Q2 31M $1.55B -$51.8M $50.04 177
2024 Q1 32.1M $1.65B +$102M $51.51 179
2023 Q4 28.3M $1.49B +$1.17M $52.69 173
2023 Q3 28.6M $1.35B +$190M $47.14 149
2023 Q2 25M $1.29B +$175M $51.55 141
2023 Q1 21.7M $1.14B -$3.72M $52.39 130
2022 Q4 21.7M $1.08B +$43.3M $49.79 135
2022 Q3 20.7M $997M +$146M $48.23 119
2022 Q2 17.6M $940M -$98.3M $53.31 121
2022 Q1 19.4M $1.19B -$481M $61.42 125
2021 Q4 27.4M $1.91B -$40.6M $69.55 143
2021 Q3 27.3M $1.89B +$31.6M $69.28 132
2021 Q2 26.9M $1.89B -$57.9M $70.20 157
2021 Q1 27.7M $1.85B +$75.1M $66.67 150
2020 Q4 24.9M $1.82B +$758M $73.02 121
2020 Q3 14.6M $1.03B +$70.7M $70.41 105
2020 Q2 13.6M $961M -$424M $70.04 103
2020 Q1 19.6M $1.27B -$47.2M $63.62 108
2019 Q4 20.4M $1.36B +$97.6M $66.67 110
2019 Q3 18.8M $1.25B +$524M $66.63 95
2019 Q2 10.9M $693M +$184M $63.75 87
2019 Q1 7.99M $484M +$130M $60.35 78
2018 Q4 5.76M $324M -$5.04M $56.30 77
2018 Q3 5.84M $340M +$87M $58.27 72
2018 Q2 4.33M $251M -$143M $57.94 66
2018 Q1 6.77M $408M -$87.7M $60.30 79
2017 Q4 7.77M $491M -$8.81M $63.20 78
2017 Q3 7.88M $489M -$30.8M $62.05 83
2017 Q2 8.38M $516M -$5.4M $61.64 85
2017 Q1 8.01M $474M +$14.6M $59.24 90
2016 Q4 9.13M $536M -$89.9M $58.70 92
2016 Q3 10.6M $673M +$48.8M $63.26 95
2016 Q2 9.61M $603M +$56.3M $62.65 97
2016 Q1 8.66M $513M +$51.6M $59.28 81
2015 Q4 7.6M $423M +$3.3M $55.67 68
2015 Q3 8.04M $458M +$699K $57.03 73
2015 Q2 8.03M $459M -$70M $57.15 71
2015 Q1 9.19M $575M +$134M $62.60 76
2014 Q4 7.06M $434M +$29.4M $61.52 65
2014 Q3 6.28M $377M +$23.1M $59.94 44
2014 Q2 5.9M $357M +$164M $60.55 42
2014 Q1 3.19M $185M +$8.28M $58.12 32