iShares Trust (LQDB)

Management Company · ARCX · Series S000071770 · View on SEC EDGAR ↗

May 18, 2021
Inception

Net flows (30d): +$0 Estimated from creation/redemption of shares outstanding

Net assets
$56.3M
Holdings
1,412
As of
May 31, 2026
Expense ratio
0.15% (Low)
Top 10 holdings weight
13.43%
Effective number of positions
151.4
Positions above 1%
2
On this page

Fund flows (SEC-reported)

Last month (May 2026)
+$4.3M
Quarter ending May 2026
+$4.3M
Trailing 12 months
+$13.1M

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 1,412 holdings

NameCUSIP Value % Balance Category Country
BlackRock Funds III 066922519 $3.7M 6.56 3,694,058 STIV US
BlackRock Funds III 066922477 $2.0M 3.60 2,026,419 STIV US
Shire Acquisitions Investments Ireland DAC 82481LAD1 $359K 0.64 360,000 DBT IE
Ford Motor Credit Co. LLC 345397D67 $236K 0.42 220,000 DBT US
AerCap Ireland Capital DAC 00774MBE4 $231K 0.41 220,000 DBT IE
Santander UK Group Holdings plc 80281LAT2 $206K 0.37 200,000 DBT GB
Nomura Holdings, Inc. 65535HBH1 $204K 0.36 200,000 DBT JP
Ford Motor Credit Co. LLC 345397G72 $203K 0.36 200,000 DBT US
Takeda Pharmaceutical Co. Ltd. 874060AW6 $202K 0.36 200,000 DBT JP
Barclays plc 06738EAW5 $200K 0.36 200,000 DBT GB
Takeda Pharmaceutical Co. Ltd. 874060AX4 $200K 0.36 220,000 DBT JP
Nomura Holdings, Inc. 65535HAX7 $184K 0.33 205,000 DBT JP
Verizon Communications, Inc. 92343VGJ7 $170K 0.30 186,000 DBT US
General Motors Financial Co., Inc. 37045XDE3 $161K 0.29 180,000 DBT US
Deutsche Bank AG 25160PAN7 $155K 0.28 155,000 DBT DE
Ford Motor Co. 345370CA6 $153K 0.27 140,000 DBT US
AerCap Ireland Capital DAC 00774MAR6 $150K 0.27 150,000 DBT IE
American Tower Corp. 03027XAW0 $147K 0.26 150,000 DBT US
Deutsche Bank AG 251526CD9 $146K 0.26 155,000 DBT DE
Amgen, Inc. 031162DR8 $138K 0.24 135,000 DBT US
Boeing Co. (The) 097023CY9 $137K 0.24 135,000 DBT US
Telefonica Emisiones SA 87938WAV5 $137K 0.24 150,000 DBT ES
AerCap Ireland Capital DAC 00774MAY1 $134K 0.24 150,000 DBT IE
AT&T, Inc. 00206RJY9 $132K 0.23 145,000 DBT US
Amgen, Inc. 031162DT4 $131K 0.23 135,000 DBT US
NextEra Energy Capital Holdings, Inc. 65339KBR0 $128K 0.23 140,000 DBT US
CVS Health Corp. 126650CZ1 $127K 0.23 145,000 DBT US
Deutsche Telekom International Finance BV 25156PAC7 $127K 0.23 112,000 DBT NL
Oracle Corp. 68389XCE3 $125K 0.22 140,000 DBT US
HCA, Inc. 404119CA5 $119K 0.21 125,000 DBT US
T-Mobile USA, Inc. 87264ACB9 $118K 0.21 130,000 DBT US
T-Mobile USA, Inc. 87264ABF1 $117K 0.21 120,000 DBT US
CVS Health Corp. 126650CY4 $117K 0.21 125,000 DBT US
Oracle Corp. 68389XDK8 $115K 0.20 120,000 DBT US
Cigna Group (The) 125523AH3 $115K 0.20 115,000 DBT US
Goldman Sachs Group, Inc. (The) 38141GFD1 $115K 0.20 105,000 DBT US
Citigroup, Inc. 172967KU4 $114K 0.20 115,000 DBT US
Boeing Co. (The) 097023CW3 $114K 0.20 115,000 DBT US
Amgen, Inc. 031162CU2 $111K 0.20 120,000 DBT US
Intel Corp. 458140CL2 $110K 0.20 110,000 DBT US
AT&T, Inc. 00206RKJ0 $109K 0.19 165,000 DBT US
HSBC Holdings plc 404280AH2 $108K 0.19 100,000 DBT GB
CVS Health Corp. 126650DT4 $106K 0.19 105,000 DBT US
CVS Health Corp. 126650DR8 $105K 0.19 120,000 DBT US
Intel Corp. 458140BU3 $105K 0.19 120,000 DBT US
AT&T, Inc. 00206RCP5 $105K 0.19 110,000 DBT US
AT&T, Inc. 00206RLJ9 $104K 0.19 160,000 DBT US
Southern Co. (The) 842587DS3 $103K 0.18 100,000 DBT US
JBS NV 46590XAP1 $102K 0.18 115,000 DBT NL
T-Mobile USA, Inc. 87264ADM4 $102K 0.18 105,000 DBT US
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Sector breakdown

Other/Unmapped
100.0%

Daily changes (30d)

DateType Ticker Change
Aug. 18, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 3.402 → 3.558 (4.6%)
Aug. 18, 2026 Exited
099724AQ9
Position exited — was 0.04286 units/share
Aug. 18, 2026 Exited
61945CAG8
Position exited — was 0.04286 units/share
Aug. 18, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: 0.1057 → 0.03691 (-65.1%)
Aug. 17, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.004871 → 0.1057 (-2270.0%)
Aug. 14, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 3.357 → 3.402 (1.4%)
Aug. 14, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: 0.02666 → -0.004871 (-118.3%)
Aug. 13, 2026 Increased — USD CASH
X2f5743ed867
Units/share: 0.02516 → 0.02666 (6.0%)
Aug. 12, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 3.346 → 3.357 (0.3%)
Aug. 12, 2026 Exited
161175BL7
Position exited — was 0.08571 units/share
Aug. 12, 2026 Exited
161175BT0
Position exited — was 0.02143 units/share
Aug. 12, 2026 Exited
161175BU7
Position exited — was 0.09286 units/share
Aug. 12, 2026 Exited
161175BV5
Position exited — was 0.07857 units/share
Aug. 12, 2026 Exited
161175BX1
Position exited — was 0.01429 units/share
Aug. 12, 2026 Exited
161175BZ6
Position exited — was 0.02857 units/share
Aug. 12, 2026 Exited
161175CA0
Position exited — was 0.09286 units/share
Aug. 12, 2026 Exited
161175CD4
Position exited — was 0.07857 units/share
Aug. 12, 2026 Exited
161175CE2
Position exited — was 0.02857 units/share
Aug. 12, 2026 New — CHARTER COMMUNICATIONS OPERATING L 144A
161175CU6
New position — 0.2557 units/share
Aug. 12, 2026 New — CHARTER COMMUNICATIONS OPERATING L 144A
161175CV4
New position — 0.1171 units/share
Aug. 12, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.002271 → 0.02516 (-1207.8%)
Aug. 11, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 3.297 → 3.346 (1.5%)
Aug. 11, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: 0.04572 → -0.002271 (-105.0%)
Aug. 10, 2026 Exited
87162WAF7
Position exited — was 0.02143 units/share
Aug. 10, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.002431 → 0.04572 (-1980.5%)
Aug. 7, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 3.643 → 3.297 (-9.5%)
Aug. 7, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.349 → -0.002431 (-99.3%)
Aug. 6, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 3.629 → 3.643 (0.4%)
Aug. 6, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.351 → -0.349 (-0.6%)
Aug. 5, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 3.617 → 3.629 (0.3%)
Aug. 5, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: -0.339 → -0.351 (3.5%)
Aug. 4, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 3.87 → 3.617 (-6.5%)
Aug. 4, 2026 Trimmed — PACIFIC GAS AND ELECTRIC COMPANY
694308JF5
Units/share: 0.07143 → 0.05857 (-18.0%)
Aug. 4, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.6184 → -0.339 (-45.2%)
Aug. 3, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: -0.3264 → -0.6184 (89.4%)
July 31, 2026 New — AERCAP IRELAND CAPITAL LTD / AERCA
00774MAB1
New position — 0.2143 units/share
July 31, 2026 Trimmed — SUMISHO AIR LEASE CORP
00914AAQ5
Units/share: 0.1071 → 0.09286 (-13.3%)
July 31, 2026 New — ALLSTATE CORPORATION (THE)
020002BA8
New position — 0.01429 units/share
July 31, 2026 Trimmed — ALTRIA GROUP INC
02209SBL6
Units/share: 0.1214 → 0.1071 (-11.8%)
July 31, 2026 Increased — AMERICAN HOMES 4 RENT LP
02666TAE7
Units/share: 0.01429 → 0.02857 (100.0%)
July 31, 2026 New — AMERICAN TOWER CORPORATION
03027XCD0
New position — 0.01429 units/share
July 31, 2026 Trimmed — CENCORA INC
03073EAQ8
Units/share: 0.05 → 0.03571 (-28.6%)
July 31, 2026 Trimmed — ELEVANCE HEALTH INC
036752AZ6
Units/share: 0.1071 → 0.09286 (-13.3%)
July 31, 2026 New — APOLLO DEBT SOLUTIONS BDC
03770DAF0
New position — 0.02857 units/share
July 31, 2026 New — ARES CAPITAL CORPORATION
04010LBM4
New position — 0.01429 units/share
July 31, 2026 New — ARES STRATEGIC INCOME FUND
04020EAB3
New position — 0.01429 units/share
July 31, 2026 Increased — ARES STRATEGIC INCOME FUND
04020EAD9
Units/share: 0.01429 → 0.02857 (100.0%)
July 31, 2026 New — ARIZONA PUBLIC SERVICE COMPANY
040555DB7
New position — 0.01429 units/share
July 31, 2026 New — AUTOZONE INC
053332BK7
New position — 0.01429 units/share
July 31, 2026 Trimmed — BAT CAPITAL CORP
05526DBZ7
Units/share: 0.07857 → 0.06429 (-18.2%)
July 31, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 3.86 → 3.87 (0.3%)
July 31, 2026 Trimmed — BAXTER INTERNATIONAL INC
071813CB3
Units/share: 0.05714 → 0.04286 (-25.0%)
July 31, 2026 Trimmed — BAXTER INTERNATIONAL INC
071813CV9
Units/share: 0.04286 → 0.02857 (-33.3%)
July 31, 2026 New — BIOGEN INC
09062XAL7
New position — 0.01429 units/share
July 31, 2026 New — BOEING CO
097023CQ6
New position — 0.01429 units/share
July 31, 2026 New — BOSTON PROPERTIES LP
10112RBB9
New position — 0.01429 units/share
July 31, 2026 New — BROWN & BROWN INC
115236AK7
New position — 0.01429 units/share
July 31, 2026 New — BUNGE FINANCE LTD CORP
120568BS8
New position — 0.01429 units/share
July 31, 2026 Trimmed — CBRE SERVICES INC
12505BAH3
Units/share: 0.05714 → 0.01429 (-75.0%)
July 31, 2026 Trimmed — CDW LLC
12513GBH1
Units/share: 0.04857 → 0.02 (-58.8%)
July 31, 2026 Trimmed — CDW LLC
12513GBK4
Units/share: 0.05 → 0.02143 (-57.1%)
July 31, 2026 Trimmed — CVS HEALTH CORP
126650CM0
Units/share: 0.07857 → 0.06429 (-18.2%)
July 31, 2026 Trimmed — CVS HEALTH CORP
126650EM8
Units/share: 0.07143 → 0.05714 (-20.0%)
July 31, 2026 Trimmed — CAMPBELLS CO
134429BK4
Units/share: 0.06429 → 0.05 (-22.2%)
July 31, 2026 Trimmed — CANADIAN PACIFIC RAILWAY COMPANY
13645RBE3
Units/share: 0.05 → 0.03571 (-28.6%)
July 31, 2026 Trimmed — CANADIAN PACIFIC RAILWAY COMPANY
13648TAG2
Units/share: 0.06429 → 0.05 (-22.2%)
July 31, 2026 New — CARLISLE COMPANIES INCORPORATED
142339AM2
New position — 0.01429 units/share
July 31, 2026 Trimmed — CHARTER COMMUNICATIONS OPERATING L
161175CP7
Units/share: 0.07857 → 0.05 (-36.4%)
July 31, 2026 New — CONAGRA BRANDS INC
205887CM2
New position — 0.01429 units/share
July 31, 2026 Trimmed — COREBRIDGE FINANCIAL INC
21871XAD1
Units/share: 0.06571 → 0.03714 (-43.5%)
July 31, 2026 New — COUSINS PROPERTIES LP
222793AC5
New position — 0.01429 units/share
July 31, 2026 New — DEVON ENERGY CORPORATION
25179MBH5
New position — 0.01429 units/share
July 31, 2026 New — DUKE ENERGY CORP
26441CBM6
New position — 0.02857 units/share
July 31, 2026 Trimmed — EQT CORP
26884LAR0
Units/share: 0.04286 → 0.02857 (-33.3%)
July 31, 2026 Trimmed — EDISON INTERNATIONAL
281020AW7
Units/share: 0.07857 → 0.06429 (-18.2%)
July 31, 2026 New — ENERGY TRANSFER LP
29273VBK5
New position — 0.01429 units/share
July 31, 2026 New — ENERGY TRANSFER LP
29273VBL3
New position — 0.01429 units/share
July 31, 2026 New — EQUIFAX INC
294429AY1
New position — 0.01429 units/share
July 31, 2026 Trimmed — EQUINIX INC
29444UBG0
Units/share: 0.03571 → 0.02143 (-40.0%)
July 31, 2026 Trimmed — EVERSOURCE ENERGY
30040WAF5
Units/share: 0.03571 → 0.02143 (-40.0%)
July 31, 2026 Trimmed — EVERSOURCE ENERGY
30040WAQ1
Units/share: 0.05714 → 0.02857 (-50.0%)
July 31, 2026 Trimmed — EXELON CORPORATION
30161NAX9
Units/share: 0.06571 → 0.03714 (-43.5%)
July 31, 2026 New — EXTRA SPACE STORAGE LP
30225VAG2
New position — 0.01429 units/share
July 31, 2026 Trimmed — FIDELITY NATIONAL INFORMATION SERV
31620MCD6
Units/share: 0.07143 → 0.05714 (-20.0%)
July 31, 2026 New — FISERV INC
337738AV0
New position — 0.02857 units/share
July 31, 2026 Increased — FORD MOTOR COMPANY
345370DB3
Units/share: 0.04286 → 0.05714 (33.3%)
July 31, 2026 Increased — GATX CORPORATION
361448BE2
Units/share: 0.01429 → 0.02857 (100.0%)
July 31, 2026 Trimmed — GLP CAPITAL LP
361841AL3
Units/share: 0.03571 → 0.02143 (-40.0%)
July 31, 2026 New — ARTHUR J GALLAGHER & CO
363576AB5
New position — 0.01429 units/share
July 31, 2026 Increased — HCA INC
404119CK3
Units/share: 0.05 → 0.06429 (28.6%)
July 31, 2026 New — HASBRO INC
418056AZ0
New position — 0.01429 units/share
July 31, 2026 New — HEALTHPEAK OP LLC
42250GAB9
New position — 0.01429 units/share
July 31, 2026 New — HEICO CORP
422806AC3
New position — 0.01429 units/share
July 31, 2026 Increased — INVITATION HOMES OPERATING PARTNER
46188BAA0
Units/share: 0.01429 → 0.02857 (100.0%)
July 31, 2026 Trimmed — JBS USA LUX SA
46590XAP1
Units/share: 0.15 → 0.1143 (-23.8%)
July 31, 2026 Trimmed — JBS NV 144A
46590XBC9
Units/share: 0.05714 → 0.04286 (-25.0%)
July 31, 2026 New — JACKSON FINANCIAL INC
46817MAV9
New position — 0.01429 units/share
July 31, 2026 Trimmed — KEYCORP MTN
49326EEK5
Units/share: 0.03571 → 0.02143 (-40.0%)
July 31, 2026 Trimmed — KRAFT HEINZ FOODS CO
50077LAZ9
Units/share: 0.05714 → 0.04286 (-25.0%)
July 31, 2026 Increased — KROGER CO
501044DV0
Units/share: 0.02857 → 0.04286 (50.0%)
July 31, 2026 Trimmed — KYNDRYL HOLDINGS INC
50155QAL4
Units/share: 0.03571 → 0.02143 (-40.0%)
July 31, 2026 Trimmed — L3HARRIS TECHNOLOGIES INC
502431AN9
Units/share: 0.07143 → 0.02857 (-60.0%)
July 31, 2026 Trimmed — LYB INTERNATIONAL FINANCE III LLC
50249AAK9
Units/share: 0.03571 → 0.02143 (-40.0%)
July 31, 2026 Trimmed — LEGGETT & PLATT INC
524660BA4
Units/share: 0.02857 → 0.01429 (-50.0%)
July 31, 2026 Trimmed — MCDONALDS CORPORATION MTN
58013MFQ2
Units/share: 0.06429 → 0.03571 (-44.4%)
July 31, 2026 Trimmed — MICROCHIP TECHNOLOGY INCORPORATED
595017BL7
Units/share: 0.04286 → 0.02857 (-33.3%)
July 31, 2026 Increased — MOLSON COORS BEVERAGE CO
60871RAT7
Units/share: 0.01429 → 0.02857 (100.0%)
July 31, 2026 New — MOODYS CORPORATION
615369BA2
New position — 0.01429 units/share
July 31, 2026 New — MOTOROLA SOLUTIONS INC
620076CB3
New position — 0.01429 units/share
July 31, 2026 Increased — NEXTERA ENERGY CAPITAL HOLDINGS IN
65339KCA6
Units/share: 0.01429 → 0.02857 (100.0%)
July 31, 2026 New — NEXTERA ENERGY CAPITAL HOLDINGS IN
65339KCJ7
New position — 0.01429 units/share
July 31, 2026 Trimmed — NISOURCE INC
65473PAJ4
Units/share: 0.1 → 0.08571 (-14.3%)
July 31, 2026 Trimmed — NISOURCE INC
65473PAQ8
Units/share: 0.07143 → 0.05714 (-20.0%)
July 31, 2026 Trimmed — NISOURCE INC
65473QBE2
Units/share: 0.05 → 0.03571 (-28.6%)
July 31, 2026 Increased — NORTHROP GRUMMAN CORP
666807BT8
Units/share: 0.01429 → 0.02857 (100.0%)
July 31, 2026 New — OCCIDENTAL PETROLEUM CORPORATION
674599EL5
New position — 0.01429 units/share
July 31, 2026 New — OHIO POWER CO
677415CU3
New position — 0.01429 units/share
July 31, 2026 New — ONEOK INC
682680CE1
New position — 0.01429 units/share
July 31, 2026 New — ORACLE CORPORATION
68389XCJ2
New position — 0.1143 units/share
July 31, 2026 New — ORACLE CORPORATION
68389XCZ6
New position — 0.05714 units/share
July 31, 2026 New — ORACLE CORPORATION
68389XDH5
New position — 0.01429 units/share
July 31, 2026 Increased — ORACLE CORPORATION
68389XDW2
Units/share: 0.06429 → 0.1643 (155.6%)
July 31, 2026 Increased — ORACLE CORPORATION
68389XDX0
Units/share: 0.03571 → 0.06429 (80.0%)
July 31, 2026 Increased — ORACLE CORPORATION
68389XEB7
Units/share: 0.03571 → 0.07143 (100.0%)
July 31, 2026 Trimmed — ORIX CORPORATION
686330AJ0
Units/share: 0.03571 → 0.02143 (-40.0%)
July 31, 2026 New — PACIFICORP
695114DQ8
New position — 0.01429 units/share
July 31, 2026 New — REVVITY INC
714046AN9
New position — 0.01429 units/share
July 31, 2026 New — PHILLIPS 66 CO
718547AR3
New position — 0.01429 units/share
July 31, 2026 Trimmed — QUEST DIAGNOSTICS INCORPORATED
74834LBA7
Units/share: 0.05857 → 0.01571 (-73.2%)
July 31, 2026 Trimmed — ROPER TECHNOLOGIES INC
776696AJ5
Units/share: 0.06429 → 0.05 (-22.2%)
July 31, 2026 New — SBA COMMUNICATIONS CORP
78410GAK0
New position — 0.05714 units/share
July 31, 2026 Trimmed — SANTANDER HOLDINGS USA INC
80282KAZ9
Units/share: 0.1429 → 0.02857 (-80.0%)
July 31, 2026 Trimmed — SANTANDER HOLDINGS USA INC
80282KBC9
Units/share: 0.05714 → 0.02857 (-50.0%)
July 31, 2026 Trimmed — SANTANDER HOLDINGS USA (FXD-FRN)
80282KBN5
Units/share: 0.03571 → 0.02143 (-40.0%)
July 31, 2026 New — SHERWIN-WILLIAMS COMPANY (THE)
824348BW5
New position — 0.01429 units/share
July 31, 2026 Trimmed — J M SMUCKER CO
832696AP3
Units/share: 0.06429 → 0.05 (-22.2%)
July 31, 2026 New — SOUTHERN COMPANY GAS CAPITAL CORPO
8426EPAF5
New position — 0.01429 units/share
July 31, 2026 Trimmed — SPRINT CAPITAL CORPORATION
852060AD4
Units/share: 0.09286 → 0.07857 (-15.4%)
July 31, 2026 Trimmed — TEXTRON INC
883203CC3
Units/share: 0.07857 → 0.03571 (-54.5%)
July 31, 2026 Trimmed — TYSON FOODS INC
902494BK8
Units/share: 0.1071 → 0.03571 (-66.7%)
July 31, 2026 Increased — VENTAS REALTY LP
92277GAW7
Units/share: 0.01429 → 0.02857 (100.0%)
July 31, 2026 Trimmed — VERIZON COMMUNICATIONS INC
92343VFW9
Units/share: 0.1357 → 0.1214 (-10.5%)
July 31, 2026 New — VERISK ANALYTICS INC
92345YAH9
New position — 0.01429 units/share
July 31, 2026 Increased — WELLS FARGO & COMPANY MTN
94974BGQ7
Units/share: 0.09286 → 0.1429 (53.8%)
July 31, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: -0.006333 → -0.3264 (5054.3%)
July 30, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 3.953 → 3.86 (-2.4%)
July 30, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.1069 → -0.006333 (-94.1%)
July 29, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.1102 → -0.1069 (-3.0%)
July 28, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 3.94 → 3.953 (0.3%)
July 28, 2026 New — SPACE EXPLORATION TECHNOLOGIES COR 144A
84615QAA1
New position — 0.1071 units/share
July 28, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: -0.0007 → -0.1102 (15639.8%)
July 27, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.00843 → -0.0007 (-91.7%)
July 24, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: -0.004451 → -0.00843 (89.4%)
July 23, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 4.687 → 3.94 (-15.9%)
July 23, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.7544 → -0.004451 (-99.4%)
July 22, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 4.695 → 4.687 (-0.2%)
July 22, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.7634 → -0.7544 (-1.2%)
July 21, 2026 Increased — AT&T INC
00206RHJ4
Units/share: 0.03571 → 0.1071 (200.0%)
July 21, 2026 Increased — BAT CAPITAL CORP
05526DBR5
Units/share: 0.03571 → 0.1071 (200.0%)
July 21, 2026 Increased — BLK CSH FND TREASURY SL AGENCY
066922477
Units/share: 4.675 → 4.695 (0.4%)
July 21, 2026 Increased — CIGNA GROUP
125523CL2
Units/share: 0.03571 → 0.1071 (200.0%)
July 21, 2026 New — CONSTELLATION BRANDS INC
21036PAY4
New position — 0.07143 units/share
July 21, 2026 New — CONSTELLATION ENERGY GENERATION LL
210385AQ3
New position — 0.07143 units/share
July 21, 2026 Increased — GENERAL MOTORS FINANCIAL COMPANY I
37045XDV5
Units/share: 0.01429 → 0.08571 (500.0%)
July 21, 2026 New — L3HARRIS TECHNOLOGIES INC
502431AN9
New position — 0.07143 units/share
July 21, 2026 New — NXP BV
62954HBA5
New position — 0.07143 units/share
July 21, 2026 Increased — OREILLY AUTOMOTIVE INC
67103HAH0
Units/share: 0.01429 → 0.08571 (500.0%)
July 21, 2026 Increased — ORACLE CORPORATION
68389XCD5
Units/share: 0.03571 → 0.1071 (200.0%)
July 21, 2026 New — STRYKER CORPORATION
863667AQ4
New position — 0.07143 units/share
July 21, 2026 Trimmed — USD CASH
X2f5743ed867
Units/share: 0.01232 → -0.7634 (-6298.7%)
July 20, 2026 Increased — USD CASH
X2f5743ed867
Units/share: -0.005979 → 0.01232 (-306.0%)
July 17, 2026 New — AEP TEXAS INC
00108WAM2
New position — 0.06429 units/share
July 17, 2026 New — AEP TEXAS INC
00108WAQ3
New position — 0.07857 units/share
July 17, 2026 New — AEP TEXAS INC
00108WAS9
New position — 0.04286 units/share
July 17, 2026 New — AEP TEXAS INC
00108WAV2
New position — 0.01429 units/share
July 17, 2026 New — AGL CAPITAL CORPORATION
001192AK9
New position — 0.02857 units/share
July 17, 2026 New — AES CORPORATION (THE)
00130HCG8
New position — 0.06429 units/share
July 17, 2026 New — AON GLOBAL LTD
00185AAH7
New position — 0.04286 units/share
July 17, 2026 New — AT&T INC
00206RBH4
New position — 0.01429 units/share
July 17, 2026 New — AT&T INC
00206RBK7
New position — 0.04286 units/share
July 17, 2026 New — AT&T INC
00206RCP5
New position — 0.1571 units/share
July 17, 2026 New — AT&T INC
00206RCQ3
New position — 0.1 units/share
July 17, 2026 New — AT&T INC
00206RDJ8
New position — 0.1643 units/share
July 17, 2026 New — AT&T INC
00206RDQ2
New position — 0.03571 units/share
July 17, 2026 New — AT&T INC
00206RFW7
New position — 0.03571 units/share
July 17, 2026 New — AT&T INC
00206RGQ9
New position — 0.07143 units/share
July 17, 2026 New — AT&T INC
00206RHJ4
New position — 0.03571 units/share
July 17, 2026 New — AT&T INC
00206RHK1
New position — 0.05 units/share
July 17, 2026 New — AT&T INC
00206RJX1
New position — 0.1429 units/share
July 17, 2026 New — AT&T INC
00206RJY9
New position — 0.2286 units/share
July 17, 2026 New — AT&T INC
00206RJZ6
New position — 0.1 units/share
July 17, 2026 New — AT&T INC
00206RKA9
New position — 0.1071 units/share
July 17, 2026 New — AT&T INC
00206RKD3
New position — 0.07857 units/share
July 17, 2026 New — AT&T INC
00206RKF8
New position — 0.06429 units/share
July 17, 2026 New — AT&T INC
00206RKG6
New position — 0.09286 units/share
July 17, 2026 New — AT&T INC
00206RKJ0
New position — 0.2357 units/share
July 17, 2026 New — AT&T INC
00206RLJ9
New position — 0.2429 units/share
July 17, 2026 New — AT&T INC
00206RLV2
New position — 0.1643 units/share
July 17, 2026 New — AT&T INC
00206RMM1
New position — 0.1857 units/share
July 17, 2026 New — AT&T INC
00206RMN9
New position — 0.2 units/share

Showing latest 200 of 1834 changes

Institutional owners (13F) 15 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
BlackRock, Inc. $20,751,336 53.96% 240,000 Shares June 30, 2026
SUSQUEHANNA INTERNATIONAL GROUP, LLP $3,488,300 9.07% 40,344 Shares June 30, 2026
Insight Wealth Partners, LLC $2,614,668 6.80% 30,240 Shares June 30, 2026
Bank of New York Mellon Corp $2,146,293 5.58% 24,823 Shares June 30, 2026
WEALTH ENHANCEMENT ADVISORY SERVICES, LLC $1,900,804 4.94% 22,247 Shares June 30, 2026
GOLDMAN SACHS GROUP INC $1,567,158 4.07% 18,125 Shares June 30, 2026
Integrated Wealth Concepts LLC $1,388,608 3.61% 16,060 Shares June 30, 2026
JANE STREET GROUP, LLC $1,124,377 2.92% 13,004 Shares June 30, 2026
BANK OF AMERICA CORP /DE/ $1,116,324 2.90% 12,911 Shares June 30, 2026
JPMORGAN CHASE & CO $996,002 2.59% 11,476 Shares June 30, 2026
MORGAN STANLEY $498,897 1.30% 5,770 Shares June 30, 2026
ROYAL BANK OF CANADA $473,000 1.23% 5,469 Shares June 30, 2026
Belpointe Asset Management LLC $297,782 0.77% 3,444 Shares June 30, 2026
HARBOUR INVESTMENTS, INC. $85,080 0.22% 984 Shares June 30, 2026
OSAIC HOLDINGS, INC. $9,856 0.03% 114 Shares June 30, 2026

Peer funds

More from this issuer

Fund AUM
IVV iShares Trust $900.9B
IEFA iShares Trust $180.7B
IEMG iShares, Inc. $162.0B
AGG iShares Trust $136.5B
IJH iShares Trust $128.4B
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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TRND Pacer Funds Trust $56.5M
IBHK iShares Trust $56.5M
EFNL iShares Trust $56.7M
NCPB Nushares ETF Trust $56.9M
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DEEF DBX ETF Trust $56.2M
EGGS Tidal Trust III $56.2M
URE ProShares Trust $56.0M
AGQI First Trust Exchange-Traded Fun… $56.0M
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