ISHARES U S ETF TR - BLACKROCK SH DUR (NEAR)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / BLACKROCK SH DUR
Shares, excl. options Q3 2024
35.2M
Holdings value Q3 2024
$1.8B
Value change Q3 2024
-$72.4M
Grand Portfolio weight change Q3 2024
0%
Number of holders
315
Number of buys Q3 2024
128
Number of sells Q3 2024
-144
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 35.2M $1.8B -$72.4M $51.24 315
2024 Q2 36.8M $1.85B -$14.3M $50.33 315
2024 Q1 37.2M $1.87B -$5.61M $50.46 327
2023 Q4 37.8M $1.91B -$152M $50.52 331
2023 Q3 40.4M $2.01B -$253M $49.89 327
2023 Q2 45.3M $2.25B -$375M $49.72 320
2023 Q1 52.7M $2.61B -$76.4M $49.60 330
2022 Q4 61.7M $3.04B +$48M $49.27 354
2022 Q3 61.2M $3.02B +$58.5M $49.26 329
2022 Q2 60M $2.96B +$406M $49.26 345
2022 Q1 51.8M $2.57B -$196M $49.57 352
2021 Q4 55.9M $2.79B +$78.8M $49.95 361
2021 Q3 53.2M $2.67B -$40.2M $50.14 356
2021 Q2 53.9M $2.7B +$102M $50.16 361
2021 Q1 52.1M $2.61B +$71.9M $50.19 367
2020 Q4 50.7M $2.54B -$844M $50.17 377
2020 Q3 66.4M $3.33B -$382M $50.11 353
2020 Q2 74.5M $3.73B -$905M $50.01 364
2020 Q1 89.7M $4.35B +$214M $48.49 370
2019 Q4 87.7M $4.41B -$609M $50.25 386
2019 Q3 98.2M $4.94B +$115M $50.34 328
2019 Q2 93.8M $4.72B +$1.57M $50.33 308
2019 Q1 95.9M $4.82B +$393M $50.24 297
2018 Q4 92.1M $4.59B +$1.15B $49.85 279
2018 Q3 65.7M $3.3B +$384M $50.19 216
2018 Q2 57.9M $2.91B +$410M $50.17 201
2018 Q1 49.8M $2.5B +$552M $50.16 187
2017 Q4 34.7M $1.74B -$48.5M $50.12 172
2017 Q3 35.4M $1.78B +$194M $50.29 134
2017 Q2 31.6M $1.59B -$117M $50.27 129
2017 Q1 32.9M $1.65B -$27.8M $50.25 117
2016 Q4 37.1M $1.85B +$111M $50.18 102
2016 Q3 33.4M $1.68B -$786M $50.19 90
2016 Q2 49.1M $2.46B -$253M $50.17 85
2016 Q1 54.1M $2.71B +$362M $50.06 81
2015 Q4 46.8M $2.34B +$378M $50.02 68
2015 Q3 39.2M $1.96B +$1.08B $50.09 64
2015 Q2 17.8M $892M +$558M $50.14 52
2015 Q1 6.67M $335M -$8.4M $50.15 49
2014 Q4 6.84M $342M +$284M $50.02 42
2014 Q3 532K $26.7M +$25.5M $50.19 4
2014 Q2 24.4K $1.23M -$2.4M $50.25 3
2014 Q1 72.1K $3.62M +$2.64M $50.20 3