ISHARES 10+ YEAR INVESTMENT GRADE CORPORATE BOND ETF - Common Stock (IGLB)

Historical Holders from Q1 2014 to Q3 2025

Symbol
IGLB
Type / Class
Equity / Common Stock
Shares outstanding
50,639,028
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
35,345,724
Holdings value
$1,821,320,568
% of all portfolios
0.01%
Number of holders
207
Number of buys
114
Number of sells
-83
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ISHARES 10+ YEAR INVESTMENT GRADE CORPORATE BOND ETF - Common Stock (IGLB)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock Portfolio Management LLC 5.04% $131,540,749 2,552,207 BlackRock Portfolio Management LLC 30 Sep 2025
BlackRock, Inc. 0.9% -83% $24,597,353 -$135,149,908 494,817 -85% BlackRock, Inc. 31 Mar 2025

Institutional Holders of ISHARES 10+ YEAR INVESTMENT GRADE CORPORATE BOND ETF - Common Stock (IGLB)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 35,345,724 $1,821,320,568 +$168,408,150 $51.54 207
2025 Q2 31,855,731 $1,598,834,622 -$325,064,334 $50.21 205
2025 Q1 38,902,664 $1,950,545,572 +$62,991,601 $50.23 215
2024 Q4 38,412,834 $1,898,315,372 +$90,635,618 $49.4 224
2024 Q3 35,588,462 $1,906,623,866 +$316,204,302 $53.59 192
2024 Q2 30,989,611 $1,550,679,157 -$51,959,945 $50.04 177
2024 Q1 32,155,826 $1,656,043,118 +$102,601,762 $51.51 183
2023 Q4 29,374,749 $1,546,615,295 +$6,128,383 $52.69 176
2023 Q3 29,569,955 $1,393,553,590 +$216,498,970 $47.14 151
2023 Q2 25,458,672 $1,312,343,569 +$186,583,758 $51.55 143
2023 Q1 21,742,299 $1,138,740,137 -$3,737,174 $52.39 132
2022 Q4 21,727,800 $1,081,893,088 +$43,291,232 $49.79 137
2022 Q3 20,662,586 $996,833,185 +$145,683,319 $48.23 122
2022 Q2 17,637,996 $940,213,805 -$98,535,828 $53.31 123
2022 Q1 19,419,120 $1,193,736,558 -$480,330,522 $61.42 128
2021 Q4 27,415,108 $1,906,270,140 -$40,638,252 $69.55 144
2021 Q3 27,324,954 $1,893,183,954 +$31,618,104 $69.28 132
2021 Q2 26,884,099 $1,888,137,017 -$57,872,659 $70.2 157
2021 Q1 27,707,918 $1,853,928,133 +$75,104,697 $66.67 149
2020 Q4 24,946,331 $1,822,551,069 +$757,576,892 $73.02 121
2020 Q3 14,610,466 $1,027,789,809 +$70,678,463 $70.41 106
2020 Q2 13,611,761 $961,024,717 -$424,097,511 $70.04 104
2020 Q1 19,619,840 $1,265,153,855 -$47,227,716 $63.62 109
2019 Q4 20,380,800 $1,358,178,208 +$97,572,890 $66.67 111
2019 Q3 18,803,998 $1,252,263,041 +$523,554,637 $66.63 94
2019 Q2 10,893,026 $693,463,945 +$184,248,008 $63.75 87
2019 Q1 7,994,951 $483,671,581 +$130,483,361 $60.35 78
2018 Q4 5,755,051 $324,123,887 -$5,041,749 $56.3 77
2018 Q3 5,840,601 $339,585,500 +$86,984,638 $58.27 72
2018 Q2 4,332,326 $251,087,760 -$143,364,614 $57.94 65
2018 Q1 6,770,881 $407,851,854 -$87,652,486 $60.3 78
2017 Q4 7,774,378 $491,315,924 -$8,809,256 $63.2 78
2017 Q3 7,875,295 $488,678,964 -$30,690,509 $62.05 83
2017 Q2 8,377,949 $516,468,931 -$3,753,571 $61.64 85
2017 Q1 8,460,260 $501,231,739 +$8,876,669 $59.24 91
2016 Q4 9,126,355 $536,029,328 -$89,755,935 $58.7 89
2016 Q3 10,668,073 $674,727,932 +$51,901,831 $63.26 97
2016 Q2 9,829,368 $616,053,352 +$50,988,139 $62.65 98
2016 Q1 8,957,738 $531,001,742 +$57,511,263 $59.28 82
2015 Q4 8,031,150 $447,042,000 +$3,330,254 $55.67 70
2015 Q3 8,035,271 $458,184,540 +$699,157 $57.03 73
2015 Q2 8,033,104 $459,102,244 -$69,998,948 $57.15 71
2015 Q1 9,186,372 $575,003,134 +$133,794,119 $62.6 76
2014 Q4 7,066,168 $434,256,938 +$29,433,925 $61.52 66
2014 Q3 6,284,643 $376,742,652 +$23,077,948 $59.94 44
2014 Q2 5,899,382 $357,190,765 +$164,146,969 $60.55 41
2014 Q1 3,191,550 $185,494,702 +$8,284,016 $58.12 32