ISHARES U S ETF TR - BLACKROCK SHORT (MEAR)

Historical Portfolio Holders from Q1 2015 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / BLACKROCK SHORT
Shares, excl. options Q2 2024
10.9M
Holdings value Q2 2024
$545M
Value change Q2 2024
-$1.89M
Grand Portfolio weight change Q2 2024
0%
Number of holders
138
Number of buys Q2 2024
80
Number of sells Q2 2024
-51
Average buys Q2 2024 %
+0.001%
Average sells Q2 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 32.7K $1.65M -$48.7K $50.32 3
2024 Q2 10.9M $545M -$1.89M $50.15 138
2024 Q1 10.7M $535M -$7.34M $50.12 128
2023 Q4 10.6M $530M +$2.17M $49.99 131
2023 Q3 10M $500M +$95.3M $49.81 114
2023 Q2 8.14M $406M +$45.4M $49.89 106
2023 Q1 7.24M $362M -$72.9M $49.96 105
2022 Q4 8.7M $432M +$30.8M $49.72 109
2022 Q3 8M $397M +$128M $49.65 104
2022 Q2 5.43M $270M +$59.2M $49.72 104
2022 Q1 4.3M $214M +$22.9M $49.76 93
2021 Q4 3.88M $194M +$3.87M $50.11 94
2021 Q3 3.77M $189M +$32.5M $50.16 85
2021 Q2 3.15M $158M -$16.6M $50.19 85
2021 Q1 3.47M $174M -$1.37M $50.25 90
2020 Q4 3.45M $173M +$3.8M $50.24 101
2020 Q3 3.03M $152M +$14.3M $50.19 81
2020 Q2 2.74M $138M -$932K $50.15 75
2020 Q1 2.76M $138M +$13.8M $49.77 76
2019 Q4 2.47M $124M +$17.9M $50.10 84
2019 Q3 1.96M $98.4M +$16.3M $50.14 63
2019 Q2 1.68M $84.2M -$444K $50.14 56
2019 Q1 1.75M $87.6M -$12.2M $50.04 58
2018 Q4 2.27M $113M +$49.6M $49.94 52
2018 Q3 705K $35.2M +$265K $49.95 39
2018 Q2 700K $35M +$8.22M $49.97 31
2018 Q1 546K $27.1M -$8.81M $49.70 24
2017 Q4 706K $35.2M +$5.23M $49.82 21
2017 Q3 535K $26.8M +$7.16M $50.11 14
2017 Q2 397K $19.9M -$3.02M $50.00 12
2017 Q1 458K $22.9M -$698K $49.90 13
2016 Q4 481K $24M -$395K $49.77 14
2016 Q3 489K $24.5M +$3.64M $50.06 10
2016 Q2 417K $20.9M -$5.52M $50.20 7
2016 Q1 527K $26.4M -$1.52M $50.09 11
2015 Q4 556K $27.8M +$20.1M $50.00 9
2015 Q3 149K $7.45M -$2.64M $50.09 3
2015 Q2 201K $10M -$9.3M $49.74 2
2015 Q1 388K $19.4M +$19.4M $50.01 2