iShares Trust (ILTB)

Management Company · ARCX · Series S000026652 · View on SEC EDGAR ↗

Dec. 8, 2009
Inception

Net flows (30d): +$3 Estimated from creation/redemption of shares outstanding

Net assets
$591.4M
Holdings
3,850
As of
May 31, 2026
Expense ratio
0.06% (Ultra-low)
Top 10 holdings weight
10.43%
Effective number of positions
284.4
Positions above 1%
7
On this page

Fund flows (SEC-reported)

Last month (May 2026)
+$0
Quarter ending May 2026
-$19.5M
Trailing 12 months
-$11.1M

Jun 2025 – May 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Full composition 3,850 holdings

NameCUSIP Value % Balance Category Country
University of Michigan 914455UK4 $146K 0.02 200,000 DBT US
SOCIETE GENERALE 83368RBB7 $146K 0.02 200,000 DBT FR
TIME WARNER CABLE LLC 88732JAN8 $146K 0.02 140,000 DBT US
EXPORT-IMPORT BANK KOREA 302154DK2 $146K 0.02 200,000 DBT KR
ENERGY TRANSFER LP 86765BAV1 $145K 0.02 160,000 DBT US
JOHNSON & JOHNSON 478160CF9 $145K 0.02 162,000 DBT US
SOUTHERN CAL EDISON 842400GG2 $145K 0.02 195,000 DBT US
VERIZON COMMUNICATIONS 92343VDR2 $145K 0.02 155,000 DBT US
INTERCONTINENTALEXCHANGE 45866FAX2 $145K 0.02 160,000 DBT US
STATE OF ISRAEL 46513JB42 $145K 0.02 200,000 DBT IL
Chile Government International Bonds 168863DL9 $145K 0.02 200,000 DBT CL
Dominican Republic International Bonds $145K 0.02 150,000 DBT DO
QUALCOMM INC 747525AK9 $144K 0.02 160,000 DBT US
CK HUTCHISON INTL 20 LTD 12564HAB1 $144K 0.02 200,000 DBT KY
SINOPEC GRP DEV 2018 $144K 0.02 200,000 DBT VG
RWE FINANCE US LLC 749983AE2 $144K 0.02 150,000 DBT US
HCA INC 404119BV0 $144K 0.02 155,000 DBT US
ALIBABA GROUP HOLDING 01609WAZ5 $144K 0.02 210,000 DBT KY
Salt River Project Agricultural Improvement & Power District 79575DE63 $143K 0.02 150,000 DBT US
PACIFIC GAS & ELECTRIC 694308JJ7 $143K 0.02 215,000 DBT US
COMISION FEDERAL DE ELEC $143K 0.02 200,000 DBT MX
Mexico Government International Bonds 91087BAS9 $143K 0.02 200,000 DBT MX
CHARTER COMM OPT LLC/CAP 161175CA0 $143K 0.02 225,000 DBT US
DIAMONDBACK ENERGY INC 25278XBA6 $143K 0.02 145,000 DBT US
PACIFIC GAS & ELECTRIC 694308JQ1 $142K 0.02 165,000 DBT US
BROADCOM INC 11135FCS8 $142K 0.02 190,000 DBT US
COMCAST CORP 20030NDH1 $142K 0.02 175,000 DBT US
UBS AG LONDON 902674A26 $142K 0.02 165,000 DBT CH
ENEL FINANCE INTL NV 29278GAY4 $142K 0.02 155,000 DBT NL
UNITEDHEALTH GROUP INC 91324PET5 $142K 0.02 140,000 DBT US
Peru Government International Bonds 715638DQ2 $142K 0.02 260,000 DBT PE
Petrobras Global Finance BV 71647NAN9 $142K 0.02 150,000 DBT NL
HOME DEPOT INC 437076BH4 $142K 0.02 170,000 DBT US
AT&T INC 00206RBH4 $142K 0.02 170,000 DBT US
MPLX LP 55336VAN0 $142K 0.02 170,000 DBT US
INTEL CORP 458140BG4 $141K 0.02 195,000 DBT US
VODAFONE GROUP PLC 92857WBS8 $141K 0.02 165,000 DBT GB
ENERGY TRANSFER LP 29273VBB5 $141K 0.02 145,000 DBT US
T-MOBILE USA INC 87264ABL8 $141K 0.02 190,000 DBT US
REPUBLIC OF INDONESIA 455780CR5 $141K 0.02 200,000 DBT ID
Chile Government International Bonds $141K 0.02 200,000 DBT CL
Morocco Government International Bonds $141K 0.02 200,000 DBT MA
ENEL FINANCE AMERICA LLC 29280HAB8 $141K 0.02 200,000 DBT US
WALT DISNEY COMPANY/THE 254687EH5 $141K 0.02 125,000 DBT US
ANHEUSER-BUSCH INBEV WOR 03523TBT4 $141K 0.02 166,000 DBT US
TENCENT HOLDINGS LTD 88032XAV6 $141K 0.02 200,000 DBT KY
PROSUS NV $141K 0.02 200,000 DBT NL
GALAXY PIPELINE ASSETS $140K 0.02 169,782 DBT JE
Board of Regents of the University of Texas System 9151375R0 $140K 0.02 150,000 DBT US
Romania Government International Bonds $140K 0.02 130,000 DBT RO
Page 14 of 77

Sector breakdown

Other/Unmapped
100.0%

Daily changes (30d)

DateType Ticker Change
Aug. 18, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.4223 → 0.4048 (-4.2%)
Aug. 18, 2026 Exited
099724AH9
Position exited — was 0.004462 units/share
Aug. 18, 2026 Exited
582839AG1
Position exited — was 0.003984 units/share
Aug. 18, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.0105 → 0.01445 (-237.6%)
Aug. 17, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.1594 → 0.4223 (165.0%)
Aug. 17, 2026 Trimmed — UNITED AIRLINES INC
90932WAA1
Units/share: 0.0007488 → 0.0007283 (-2.7%)
Aug. 17, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.02202 → -0.0105 (-52.3%)
Aug. 14, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.1618 → 0.1594 (-1.5%)
Aug. 14, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.02842 → -0.02202 (-22.5%)
Aug. 13, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.153 → 0.1618 (5.7%)
Aug. 13, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: -0.02081 → -0.02842 (36.6%)
Aug. 12, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.1506 → 0.153 (1.6%)
Aug. 12, 2026 Exited
161175BL7
Position exited — was 0.01952 units/share
Aug. 12, 2026 Exited
161175BS2
Position exited — was 0.01076 units/share
Aug. 12, 2026 Exited
161175BT0
Position exited — was 0.02151 units/share
Aug. 12, 2026 Exited
161175BV5
Position exited — was 0.01594 units/share
Aug. 12, 2026 Exited
161175BZ6
Position exited — was 0.01355 units/share
Aug. 12, 2026 Exited
161175CA0
Position exited — was 0.01793 units/share
Aug. 12, 2026 Exited
161175CE2
Position exited — was 0.00996 units/share
Aug. 12, 2026 Exited
161175CK8
Position exited — was 0.01195 units/share
Aug. 12, 2026 New — CHARTER COMMUNICATIONS OPERATING L 144A
161175CU6
New position — 0.03076 units/share
Aug. 12, 2026 New — CHARTER COMMUNICATIONS OPERATING L 144A
161175CV4
New position — 0.04701 units/share
Aug. 12, 2026 Exited
43849RAH8
Position exited — was 0.01155 units/share
Aug. 12, 2026 Exited
43849RAJ4
Position exited — was 0.02311 units/share
Aug. 12, 2026 Exited
43849RAK1
Position exited — was 0.01474 units/share
Aug. 12, 2026 New — HONEYWELL AEROSPACE INC
43849RAS4
New position — 0.01155 units/share
Aug. 12, 2026 New — HONEYWELL AEROSPACE INC
43849RAT2
New position — 0.02311 units/share
Aug. 12, 2026 New — HONEYWELL AEROSPACE INC
43849RAU9
New position — 0.01474 units/share
Aug. 12, 2026 New — PUBLIC SERVICE COMPANY OF OKLAHOMA
744533BU3
New position — 0.004382 units/share
Aug. 12, 2026 Exited
88732JBD9
Position exited — was 0.009482 units/share
Aug. 12, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.03269 → -0.02081 (-36.3%)
Aug. 11, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.149 → 0.1506 (1.1%)
Aug. 11, 2026 New — MARTIN MARIETTA MATERIALS INC
573284BG0
New position — 0.001992 units/share
Aug. 11, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: -0.03048 → -0.03269 (7.3%)
Aug. 10, 2026 New — ARIZONA PUBLIC SERVICE COMPANY
040555DL5
New position — 0.002789 units/share
Aug. 10, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.2127 → 0.149 (-30.0%)
Aug. 10, 2026 New — ENTERGY LOUISIANA LLC
29364WBU1
New position — 0.003586 units/share
Aug. 10, 2026 New — VIRGINIA ELECTRIC AND POWER COMPAN
927804HA5
New position — 0.003984 units/share
Aug. 10, 2026 New — WISCONSIN PUBLIC SERVICE CORPORATI
976843BS0
New position — 0.002789 units/share
Aug. 10, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.09157 → -0.03048 (-66.7%)
Aug. 7, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.003187 → 0.2127 (6575.0%)
Aug. 7, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: 0.1175 → -0.09157 (-177.9%)
Aug. 6, 2026 New — ALPHABET INC
02079KCT2
New position — 0.01873 units/share
Aug. 6, 2026 New — ALPHABET INC
02079KCU9
New position — 0.03068 units/share
Aug. 6, 2026 New — ALPHABET INC
02079KCV7
New position — 0.01873 units/share
Aug. 6, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.4072 → 0.003187 (-99.2%)
Aug. 6, 2026 New — CHARTER COMMUNICATIONS OPERATING L
161175DB7
New position — 0.00757 units/share
Aug. 6, 2026 New — PUBLIC SERVICE ELECTRIC AND GAS CO MTN
74456QDA1
New position — 0.002789 units/share
Aug. 6, 2026 Increased — YINSON BORONIA PRODUCTION BV RegS
USN9733XAA56
Units/share: 0.01417 → 0.0153 (8.0%)
Aug. 6, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.2092 → 0.1175 (-156.2%)
Aug. 5, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.404 → 0.4072 (0.8%)
Aug. 5, 2026 Exited
39321LAC7
Position exited — was 0.01594 units/share
Aug. 5, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: -0.2082 → -0.2092 (0.5%)
Aug. 5, 2026 New — GREEN PALM BIDCO SARL MTN RegS
XS3394864501
New position — 0.01594 units/share
Aug. 4, 2026 New — ABBVIE INC
00287YER6
New position — 0.004382 units/share
Aug. 4, 2026 New — ABBVIE INC
00287YES4
New position — 0.003187 units/share
Aug. 4, 2026 New — ABBVIE INC
00287YET2
New position — 0.003586 units/share
Aug. 4, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.4 → 0.404 (1.0%)
Aug. 4, 2026 Exited
3136B35Z9
Position exited — was 0.01977 units/share
Aug. 4, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.2167 → -0.2082 (-3.9%)
Aug. 3, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.2072 → 0.4 (93.1%)
Aug. 3, 2026 New — PUBLIC SERVICE COMPANY OF COLORADO
744448DG3
New position — 0.003187 units/share
Aug. 3, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: 0.163 → -0.2167 (-233.0%)
July 31, 2026 Trimmed — AT&T INC
00206RNK4
Units/share: 0.01275 → 0.008765 (-31.3%)
July 31, 2026 Trimmed — ABBOTT LABORATORIES
002824AY6
Units/share: 0.00757 → 0.004382 (-42.1%)
July 31, 2026 Trimmed — ABBVIE INC
00287YAS8
Units/share: 0.02351 → 0.01554 (-33.9%)
July 31, 2026 Increased — AMAZON.COM INC
023135DJ2
Units/share: 0.01355 → 0.01992 (47.1%)
July 31, 2026 Trimmed — AMERICAN WATER CAPITAL CORP
03040WAR6
Units/share: 0.006375 → 0.003187 (-50.0%)
July 31, 2026 Trimmed — AMGEN INC
031162CR9
Units/share: 0.01554 → 0.00996 (-35.9%)
July 31, 2026 Trimmed — ARGENTINA REPUBLIC OF GOVERNMENT
040114HW3
Units/share: 0.02376 → 0.01652 (-30.5%)
July 31, 2026 Trimmed — BAT CAPITAL CORP
054989AC2
Units/share: 0.006773 → 0.003586 (-47.1%)
July 31, 2026 Trimmed — BANK OF AMERICA CORP MTN
06051GJA8
Units/share: 0.04422 → 0.03944 (-10.8%)
July 31, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.2032 → 0.2072 (2.0%)
July 31, 2026 Increased — BAYER US FINANCE II LLC 144A
07274NBG7
Units/share: 0.006215 → 0.01259 (102.6%)
July 31, 2026 Trimmed — BROOKFIELD FINANCE INC
11271LAP7
Units/share: 0.005578 → 0.00239 (-57.1%)
July 31, 2026 Trimmed — BURLINGTON NORTHERN SANTA FE LLC
12189LBJ9
Units/share: 0.009163 → 0.005976 (-34.8%)
July 31, 2026 Trimmed — CIGNA GROUP
125523AK6
Units/share: 0.0239 → 0.02072 (-13.3%)
July 31, 2026 Trimmed — CVS HEALTH CORP
126650EE6
Units/share: 0.008765 → 0.004781 (-45.5%)
July 31, 2026 Exited
20030NBT7
Position exited — was 0.007171 units/share
July 31, 2026 Trimmed — COMCAST CORPORATION
20030NCN9
Units/share: 0.009562 → 0.006375 (-33.3%)
July 31, 2026 Exited
24703TAJ5
Position exited — was 0.007092 units/share
July 31, 2026 Trimmed — WALT DISNEY CO
254687FS0
Units/share: 0.01673 → 0.01275 (-23.8%)
July 31, 2026 Trimmed — EMERSON ELECTRIC CO
291011BD5
Units/share: 0.004781 → 0.00239 (-50.0%)
July 31, 2026 Exited
29266MAF6
Position exited — was 0.002789 units/share
July 31, 2026 Trimmed — ENTERGY ARKANSAS LLC
29366MAA6
Units/share: 0.005578 → 0.003187 (-42.9%)
July 31, 2026 Trimmed — ESSENTIAL UTILITIES INC
29670GAE2
Units/share: 0.006375 → 0.003187 (-50.0%)
July 31, 2026 Exited
3133XGAY0
Position exited — was 0.02311 units/share
July 31, 2026 Trimmed — GATX CORPORATION
361448AU7
Units/share: 0.004382 → 0.001594 (-63.6%)
July 31, 2026 Trimmed — GOLDMAN SACHS GROUP INC/THE
38141GC51
Units/share: 0.0251 → 0.01873 (-25.4%)
July 31, 2026 Trimmed — GOLDMAN SACHS GROUP INC/THE
38148YAA6
Units/share: 0.01952 → 0.01394 (-28.6%)
July 31, 2026 Exited
39121JAE0
Position exited — was 0.004806 units/share
July 31, 2026 Trimmed — HOME DEPOT INC
437076CQ3
Units/share: 0.01434 → 0.01036 (-27.8%)
July 31, 2026 Trimmed — INTERNATIONAL BUSINESS MACHINES CO
459200HF1
Units/share: 0.009562 → 0.005578 (-41.7%)
July 31, 2026 Trimmed — JOHNSON & JOHNSON
478160CG7
Units/share: 0.01076 → 0.005976 (-44.4%)
July 31, 2026 Trimmed — JPMORGAN CHASE & CO
48126BAA1
Units/share: 0.01235 → 0.00757 (-38.7%)
July 31, 2026 Trimmed — KINDER MORGAN INC
49456BAH4
Units/share: 0.01394 → 0.007968 (-42.9%)
July 31, 2026 Trimmed — KROGER CO
501044CK5
Units/share: 0.004064 → 0.001673 (-58.8%)
July 31, 2026 Exited
501797AM6
Position exited — was 0.004382 units/share
July 31, 2026 Trimmed — MPLX LP
55336VBZ2
Units/share: 0.008765 → 0.004781 (-45.5%)
July 31, 2026 Trimmed — MARATHON PETROLEUM CORP
56585AAH5
Units/share: 0.00757 → 0.005578 (-26.3%)
July 31, 2026 New — MIZUHO BANK LTD 144A
60688XBR0
New position — 0.01594 units/share
July 31, 2026 Exited
60744MAC0
Position exited — was 0.003984 units/share
July 31, 2026 Trimmed — MOSAIC CO/THE
61945CAB9
Units/share: 0.005179 → 0.001992 (-61.5%)
July 31, 2026 Trimmed — NBCUNIVERSAL MEDIA LLC
63946BAG5
Units/share: 0.006375 → 0.00239 (-62.5%)
July 31, 2026 Trimmed — NUCOR CORPORATION
670346AU9
Units/share: 0.006693 → 0.003506 (-47.6%)
July 31, 2026 Trimmed — NVIDIA CORPORATION
67066GAU8
Units/share: 0.03386 → 0.02988 (-11.8%)
July 31, 2026 Trimmed — OCCIDENTAL PETROLEUM CORPORATION
674599EM3
Units/share: 0.008367 → 0.005976 (-28.6%)
July 31, 2026 Exited
677347CE4
Position exited — was 0.001594 units/share
July 31, 2026 Trimmed — ONEOK INC
682680AT0
Units/share: 0.005578 → 0.00239 (-57.1%)
July 31, 2026 Exited
683879AF7
Position exited — was 0.003426 units/share
July 31, 2026 Exited
68389XBH7
Position exited — was 0.01036 units/share
July 31, 2026 Trimmed — RAYTHEON TECHNOLOGIES CORPORATION
75513EAC5
Units/share: 0.008765 → 0.004781 (-45.5%)
July 31, 2026 Exited
842587CW5
Position exited — was 0.003984 units/share
July 31, 2026 Trimmed — T-MOBILE USA INC
87264AEA9
Units/share: 0.01315 → 0.00996 (-24.2%)
July 31, 2026 Exited
87612GAS0
Position exited — was 0.007171 units/share
July 31, 2026 Exited
87927VAR9
Position exited — was 0.003984 units/share
July 31, 2026 Trimmed — TIME WARNER CABLE LLC
88732JAU2
Units/share: 0.01394 → 0.01076 (-22.9%)
July 31, 2026 Trimmed — TREASURY BOND
912810TG3
Units/share: 0.5027 → 0.2647 (-47.3%)
July 31, 2026 Increased — TREASURY BOND (OLD)
912810UU0
Units/share: 0.4098 → 0.5541 (35.2%)
July 31, 2026 Increased — TREASURY BOND (OTR)
912810UV8
Units/share: 0.1701 → 0.2523 (48.3%)
July 31, 2026 Trimmed — RAYTHEON TECHNOLOGIES CORPORATION
913017BT5
Units/share: 0.02749 → 0.02351 (-14.5%)
July 31, 2026 Trimmed — UNITEDHEALTH GROUP INC
91324PDL3
Units/share: 0.01195 → 0.007968 (-33.3%)
July 31, 2026 Trimmed — UNITEDHEALTH GROUP INC
91324PEX6
Units/share: 0.01355 → 0.01116 (-17.6%)
July 31, 2026 Trimmed — VERIZON COMMUNICATIONS INC
92343VGB4
Units/share: 0.03665 → 0.03267 (-10.9%)
July 31, 2026 Trimmed — VERIZON COMMUNICATIONS INC
92343VHH0
Units/share: 0.01394 → 0.00996 (-28.6%)
July 31, 2026 Trimmed — WELLS FARGO & COMPANY (FXD-FRN) MTN
95000U4F7
Units/share: 0.01713 → 0.01235 (-27.9%)
July 31, 2026 Trimmed — WILLIAMS COMPANIES INC
969457BV1
Units/share: 0.005976 → 0.002789 (-53.3%)
July 31, 2026 Exited
98389BAH3
Position exited — was 0.002789 units/share
July 31, 2026 Trimmed — YINSON BORONIA PRODUCTION BV RegS
USN9733XAA56
Units/share: 0.01548 → 0.01417 (-8.5%)
July 31, 2026 Trimmed — FIEMEX ENERGIA BANCO ACTINVER S RegS
USP0R12RAA88
Units/share: 0.01578 → 0.01566 (-0.8%)
July 31, 2026 Exited
USP29595AE80
Position exited — was 0.01594 units/share
July 31, 2026 Exited
USP8000LAA72
Position exited — was 0.007968 units/share
July 31, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.009181 → 0.163 (-1875.4%)
July 31, 2026 Trimmed — ROMANIA (REPUBLIC OF) MTN RegS
XS2201851685
Units/share: 0.0239 → 0.01594 (-33.3%)
July 31, 2026 Trimmed — ROMANIA (REPUBLIC OF) MTN RegS
XS2571924070
Units/share: 0.01195 → 0.009562 (-20.0%)
July 30, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.1992 → 0.2032 (2.0%)
July 30, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: -0.008961 → -0.009181 (2.4%)
July 29, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.1968 → 0.1992 (1.2%)
July 29, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: -0.008658 → -0.008961 (3.5%)
July 28, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.192 → 0.1968 (2.5%)
July 28, 2026 New — KINDER MORGAN INC
49456BBF7
New position — 0.008367 units/share
July 28, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: 0.001641 → -0.008658 (-627.5%)
July 28, 2026 Increased — EUR CASH
Xa9e45b2a778
Units/share: 0.00002566 → 0.00002614 (1.9%)
July 27, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.1857 → 0.192 (3.4%)
July 27, 2026 Exited
46653KAB4
Position exited — was 0.002789 units/share
July 27, 2026 Exited
46653KAC2
Position exited — was 0.0003984 units/share
July 27, 2026 Increased — USD CASH
X2f5743ed867
Units/share: 0.0001552 → 0.001641 (957.3%)
July 24, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.1825 → 0.1857 (1.7%)
July 24, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: 0.00119 → 0.0001552 (-87.0%)
July 23, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.1777 → 0.1825 (2.7%)
July 23, 2026 Increased — USD CASH
X2f5743ed867
Units/share: 0.00008805 → 0.00119 (1252.0%)
July 22, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.1737 → 0.1777 (2.3%)
July 22, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: 0.001177 → 0.00008805 (-92.5%)
July 21, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.1984 → 0.1737 (-12.4%)
July 21, 2026 New — BROADCOM INC
11135FBN0
New position — 0.02271 units/share
July 21, 2026 Exited
11135FBQ3
Position exited — was 0.02271 units/share
July 21, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.02698 → 0.001177 (-104.4%)
July 20, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 0.196 → 0.1984 (1.2%)
July 20, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.03108 → -0.02698 (-13.2%)
July 17, 2026 New — ABB FINANCE USA INC
00037BAC6
New position — 0.003187 units/share
July 17, 2026 New — AFLAC INCORPORATED
001055AR3
New position — 0.005179 units/share
July 17, 2026 New — AFLAC INCORPORATED
001055AY8
New position — 0.006375 units/share
July 17, 2026 New — AEP TEXAS INC
00108WAF7
New position — 0.003984 units/share
July 17, 2026 New — AEP TEXAS INC
00108WAJ9
New position — 0.00239 units/share
July 17, 2026 New — AEP TEXAS INC
00108WAK6
New position — 0.004382 units/share
July 17, 2026 New — AEP TEXAS INC
00108WAN0
New position — 0.004781 units/share
July 17, 2026 New — AEP TEXAS INC
00108WAQ3
New position — 0.004781 units/share
July 17, 2026 New — AEP TEXAS INC
00108WAU4
New position — 0.003187 units/share
July 17, 2026 New — AEP TRANSMISSION COMPANY LLC
00115AAF6
New position — 0.003187 units/share
July 17, 2026 New — AEP TRANSMISSION COMPANY LLC
00115AAH2
New position — 0.00494 units/share
July 17, 2026 New — AEP TRANSMISSION COMPANY LLC
00115AAJ8
New position — 0.001594 units/share
July 17, 2026 New — AEP TRANSMISSION COMPANY LLC
00115AAK5
New position — 0.001992 units/share
July 17, 2026 New — AEP TRANSMISSION COMPANY LLC
00115AAL3
New position — 0.00239 units/share
July 17, 2026 New — AEP TRANSMISSION COMPANY LLC
00115AAM1
New position — 0.004382 units/share
July 17, 2026 New — AEP TRANSMISSION COMPANY LLC
00115AAN9
New position — 0.005578 units/share
July 17, 2026 New — AEP TRANSMISSION COMPANY LLC
00115AAP4
New position — 0.002789 units/share
July 17, 2026 New — AEP TRANSMISSION COMPANY LLC
00115AAQ2
New position — 0.007171 units/share
July 17, 2026 New — AGL CAPITAL CORPORATION
001192AH6
New position — 0.004462 units/share
July 17, 2026 New — AGL CAPITAL CORPORATION
001192AK9
New position — 0.003506 units/share
July 17, 2026 New — AHS HOSP CORP
001306AB5
New position — 0.003586 units/share
July 17, 2026 New — AHS Hospital Corp
001306AC3
New position — 0.003187 units/share
July 17, 2026 New — AIA GROUP LTD MTN 144A
00131LAE5
New position — 0.004382 units/share
July 17, 2026 New — AIA GROUP LTD 144A
00131LAK1
New position — 0.01793 units/share
July 17, 2026 New — AIA GROUP LTD MTN 144A
00131LAS4
New position — 0.002789 units/share
July 17, 2026 New — AON GLOBAL LTD
00185AAG9
New position — 0.004781 units/share
July 17, 2026 New — AON GLOBAL LTD
00185AAH7
New position — 0.004303 units/share
July 17, 2026 New — AT&T INC
00206RAS1
New position — 0.003984 units/share
July 17, 2026 New — AT&T INC
00206RBA9
New position — 0.004781 units/share
July 17, 2026 New — AT&T INC
00206RBH4
New position — 0.01355 units/share
July 17, 2026 New — AT&T INC
00206RBK7
New position — 0.008367 units/share
July 17, 2026 New — AT&T INC
00206RCG5
New position — 0.004781 units/share
July 17, 2026 New — AT&T INC
00206RCQ3
New position — 0.01514 units/share
July 17, 2026 New — AT&T INC
00206RCU4
New position — 0.006375 units/share
July 17, 2026 New — AT&T INC
00206RDF6
New position — 0.004382 units/share
July 17, 2026 New — AT&T INC
00206RDG4
New position — 0.00239 units/share
July 17, 2026 New — AT&T INC
00206RDH2
New position — 0.005578 units/share
July 17, 2026 New — AT&T INC
00206RDJ8
New position — 0.01275 units/share
July 17, 2026 New — AT&T INC
00206RDK5
New position — 0.00996 units/share
July 17, 2026 New — AT&T INC
00206RDR0
New position — 0.007171 units/share
July 17, 2026 New — AT&T INC
00206RDS8
New position — 0.006375 units/share

Showing latest 200 of 4038 changes

Institutional owners (13F) 95 filers

Institutions that report holding this ETF in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Institution Value % of tracked 13F Shares Type As of
RETIREMITTEN FINANCIAL LLC $13,822,657 8.16% 280,658 Shares June 30, 2026
Cedar Mountain Advisors, LLC $12,072,389 7.12% 245,120 Shares June 30, 2026
GOLDMAN SACHS GROUP INC $11,953,686 7.05% 242,710 Shares June 30, 2026
AMERIPRISE FINANCIAL INC $11,277,906 6.65% 228,975 Shares June 30, 2026
BlackRock, Inc. $10,701,186 6.31% 217,279 Shares June 30, 2026
UBS Group AG $8,436,352 4.98% 171,293 Shares June 30, 2026
Verde Capital Management $7,631,288 4.50% 154,947 Shares June 30, 2026
HighPoint Advisor Group LLC $7,368,532 4.35% 149,612 Shares June 30, 2026
MORGAN STANLEY $6,232,707 3.68% 126,550 Shares June 30, 2026
BANK OF AMERICA CORP /DE/ $6,151,818 3.63% 124,910 Shares June 30, 2026
LPL Financial LLC $6,098,731 3.60% 123,830 Shares June 30, 2026
ETF Portfolio Partners, Inc. $5,441,141 3.21% 110,478 Shares June 30, 2026
Arkadios Wealth Advisors $4,776,890 2.82% 96,991 Shares June 30, 2026
Cetera Investment Advisers $4,364,593 2.58% 88,620 Shares June 30, 2026
ENVESTNET ASSET MANAGEMENT INC $4,207,513 2.48% 85,430 Shares June 30, 2026
CREATIVE FINANCIAL DESIGNS INC /ADV $3,821,289 2.25% 77,588 Shares June 30, 2026
AE Wealth Management LLC $3,618,951 2.14% 73,480 Shares June 30, 2026
SCHMIDT P J INVESTMENT MANAGEMENT INC $3,386,337 2.00% 68,757 Shares June 30, 2026
KEYBANK NATIONAL ASSOCIATION/OH $3,366,650 1.99% 68,357 Shares June 30, 2026
JONES FINANCIAL COMPANIES LLLP $3,295,423 1.94% 66,413 Shares June 30, 2026
Independent Wealth Network Inc. $2,324,005 1.37% 47,187 Shares June 30, 2026
Sound Income Strategies, LLC $2,296,891 1.36% 46,637 Shares June 30, 2026
Wealthfront Advisers LLC $2,201,121 1.30% 44,692 Shares June 30, 2026
Equitable Holdings, Inc. $2,151,835 1.27% 43,691 Shares June 30, 2026
WELLS FARGO & COMPANY/MN $2,110,401 1.25% 42,850 Shares June 30, 2026
SUSQUEHANNA INTERNATIONAL GROUP, LLP $1,963,584 1.16% 39,869 Shares June 30, 2026
JANE STREET GROUP, LLC $1,823,810 1.08% 37,031 Shares June 30, 2026
Prospera Financial Services Inc $1,637,692 0.97% 33,228 Shares June 30, 2026
Goldstone Financial Group, LLC $1,461,310 0.86% 29,671 Shares June 30, 2026
Veratis Advisors, Inc. $1,120,763 0.66% 22,756 Shares June 30, 2026
Cresta Advisors, Ltd. $1,111,593 0.66% 22,570 Shares June 30, 2026
MML INVESTORS SERVICES, LLC $1,059,121 0.62% 21,505 Shares June 30, 2026
Summit Wealth Partners, LLC $778,681 0.46% 15,810 Shares June 30, 2026
VestGen Advisors, LLC $760,517 0.45% 15,442 Shares June 30, 2026
J.W. COLE ADVISORS, INC. $756,320 0.45% 15,356 Shares June 30, 2026
Level Financial Advisors $739,453 0.44% 15,014 Shares June 30, 2026
Safeguard Investment Advisory Group, LLC $704,457 0.42% 14,303 Shares June 30, 2026
Latitude Advisors, LLC $499,897 0.29% 10,150 Shares June 30, 2026
GWN SECURITIES INC. $468,512 0.28% 9,513 Shares June 30, 2026
Private Advisor Group, LLC $453,319 0.27% 9,204 Shares June 30, 2026
COMMONWEALTH EQUITY SERVICES, LLC $451,692 0.27% 9,171 Shares June 30, 2026
WEALTH ENHANCEMENT ADVISORY SERVICES, LLC $409,132 0.24% 8,473 Shares June 30, 2026
Sanctuary Advisors, LLC $345,101 0.20% 7,007 Shares June 30, 2026
Advisors Asset Management, Inc. $341,231 0.20% 7,014 Shares Dec. 31, 2024
Elevated Capital Advisors, LLC $321,953 0.19% 6,537 Shares June 30, 2026
TD PRIVATE CLIENT WEALTH LLC $315,895 0.19% 6,414 Shares June 30, 2026
ROYAL BANK OF CANADA $289,000 0.17% 5,874 Shares June 30, 2026
Integrated Wealth Concepts LLC $251,334 0.15% 5,104 Shares June 30, 2026
PLANWISER FINANCIAL, LLC $238,325 0.14% 4,839 Shares June 30, 2026
Advisory Services Network, LLC $231,528 0.14% 4,701 Shares June 30, 2026
OSAIC HOLDINGS, INC. $230,964 0.14% 4,690 Shares June 30, 2026
INTERNATIONAL ASSETS INVESTMENT MANAGEMENT, LLC $224,734 0.13% 4,601 Shares June 30, 2026
Global Retirement Partners, LLC $211,517 0.12% 4,295 Shares June 30, 2026
COMERICA BANK $163,659 0.10% 3,293 Shares Dec. 31, 2025
FIFTH THIRD BANCORP $162,183 0.10% 3,293 Shares June 30, 2026
CITIGROUP INC $155,927 0.09% 3,166 Shares June 30, 2026
PlanVest Financial, Inc $116,331 0.07% 2,362 Shares June 30, 2026
FINANCIAL CONSULATE, INC $82,180 0.05% 1,669 Shares June 30, 2026
Capital A Wealth Management, LLC $59,941 0.04% 1,140 Shares June 30, 2025
CWM, LLC $55,837 0.03% 1,140 Shares March 31, 2026
Decker Retirement Planning Inc. $55,801 0.03% 1,133 Shares June 30, 2026
IFP Advisors, Inc $51,369 0.03% 1,043 Shares June 30, 2026
Geneos Wealth Management Inc. $37,747 0.02% 766 Shares June 30, 2026
SHP Wealth Management $36,675 0.02% 745 Shares June 30, 2026
NATIONAL BANK OF CANADA /FI/ $30,529 0.02% 620 Shares June 30, 2026
RAYMOND JAMES FINANCIAL INC $27,827 0.02% 565 Shares June 30, 2026
Quest 10 Wealth Builders, Inc. $26,103 0.02% 530 Shares June 30, 2026
JPMORGAN CHASE & CO $17,899 0.01% 360 Shares June 30, 2026
Guardian Partners Inc. $13,790 0.01% 280 Shares June 30, 2026
Continuum Advisory, LLC $13,396 0.01% 272 Shares June 30, 2026
Steward Partners Investment Advisory, LLC $12,313 0.01% 250 Shares June 30, 2026
Rossby Financial, LCC $10,244 0.01% 208 Shares June 30, 2026
Crews Bank & Trust $9,505 0.01% 193 Shares June 30, 2026
Arax Advisory Partners $8,570 0.01% 174 Shares June 30, 2026
Oakmont Advisory Group, LLC $3,865 0.00% 78 Shares June 30, 2026
TOUNJIAN ADVISORY PARTNERS, LLC $3,743 0.00% 76 Shares June 30, 2026
Qube Research & Technologies Ltd $2,266 0.00% 46 Shares June 30, 2026
Betterment LLC $1,644 0.00% 33,388 Shares June 30, 2026
VANGUARD ADVISERS INC $1,616 0.00% 33 Shares March 31, 2026
Allworth Financial LP $789 0.00% 16 Shares June 30, 2026
MERCER GLOBAL ADVISORS INC /ADV $690 0.00% 14 Shares June 30, 2026
Spurstone Advisory Services, LLC $684 0.00% 14 Shares June 30, 2026
Bogart Wealth, LLC $591 0.00% 12 Shares June 30, 2026
PEAPACK GLADSTONE FINANCIAL CORP $488 0.00% 9,916 Shares June 30, 2026
Cambridge Investment Research Advisors, Inc. $445 0.00% 9,041 Shares June 30, 2026
Luminist Capital LLC $345 0.00% 0 Shares June 30, 2026
Cape Investment Advisory, Inc. $317 0.00% 6 Shares June 30, 2026
TSFG, LLC $285 0.00% 5,791 Shares June 30, 2026
FMR LLC $148 0.00% 3 Shares June 30, 2026
Godfrey Financial Associates, Inc. $51 0.00% 1 Shares June 30, 2026
Quent Capital, LLC $49 0.00% 1 Shares June 30, 2026
CreativeOne Wealth, LLC $46 0.00% 1 Shares June 30, 2026
CoreCap Advisors, LLC $40 0.00% 1 Shares June 30, 2026
BLUELINE ADVISORS LLC $28 0.00% 1 Shares June 30, 2026
Kingdom Financial Group LLC. $9 0.00% 0 Shares June 30, 2026

Peer funds

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IWF iShares Trust $128.2B
IJR iShares Trust $113.0B
ITOT iShares Trust $97.9B
SGOV iShares Trust $91.9B
IWD iShares Trust $83.9B

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