iShares Trust (FIBR)

Società di gestione · BATS · Serie S000060088 · Visualizza su SEC EDGAR ↗

Attività nette
$1.0B
Partecipazioni
863
Aggiornato al
30 Aprile 2026 obsoleto
Peso dei primi 10 titoli
34,02%
Numero effettivo di posizioni
51,9
Posizioni superiori all'1%
20
Su questa pagina

Flussi di fondi (segnalati dalla SEC)

Ultimo mese (Apr 2026)
-$13.7M
Trimestre terminato il Apr 2026
+$227.4M
Ultimi 12 mesi
+$953.0M

Mag 2025 – Apr 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.

Composizione completa 863 partecipazioni

NomeCUSIP Valore % Saldo Categoria Paese
CGI INC 12532HAM6 $404K 0,04 403.000 DBT CA
INSIGHT ENTERPRS 45765UAC7 $404K 0,04 407.000 DBT US
ROCKETMTGE CO-ISSUER INC 77313LAB9 $402K 0,04 446.000 DBT US
MARRIOTT INTERNATIONAL 571903BT9 $400K 0,04 394.000 DBT US
NNN REIT INC 637417AU0 $398K 0,04 401.000 DBT US
ONEMAIN FINANCE CORP 682691AK6 $394K 0,04 389.000 DBT US
EQUIFAX INC 294429AX3 $394K 0,04 392.000 DBT US
CENOVUS ENERGY INC 15135UBA6 $393K 0,04 395.000 DBT CA
MARRIOTT INTERNATIONAL 571903BL6 $393K 0,04 388.000 DBT US
LEIDOS INC 52532XAK1 $390K 0,04 383.000 DBT US
ALTRIA GROUP INC 02209SBL6 $390K 0,04 443.000 DBT US
MOTOROLA SOLUTIONS INC 620076BT5 $388K 0,04 429.000 DBT US
APTARGROUP INC 038336AB9 $387K 0,04 390.000 DBT US
APPLOVIN CORP 03831WAC2 $386K 0,04 382.000 DBT US
NATIONAL FUEL GAS CO 636180BT7 $381K 0,04 373.000 DBT US
Chicago Board of Trade $380K 0,04 -257 DIR US
HOST HOTELS & RESORTS LP 44107TBD7 $379K 0,04 368.000 DBT US
ALTRIA GROUP INC 02209SBT9 $379K 0,04 369.000 DBT US
ALLY FINANCIAL INC 02005NBS8 $376K 0,04 364.000 DBT US
COREWEAVE INC 21873SAG3 $375K 0,04 373.000 DBT US
TUTOR PERINI CORP 901109AG3 $375K 0,04 344.000 DBT US
EIDP INC 263534CS6 $374K 0,04 368.000 DBT US
Chicago Board of Trade $373K 0,04 -96 DIR US
DOLLAR GENERAL CORP 256677AP0 $372K 0,04 365.000 DBT US
SISECAM UK PLC 829688AA8 $372K 0,04 363.000 DBT GB
FIRST HORIZON CORP 320517AE5 $370K 0,04 365.000 DBT US
FEDEX CORP 31428XDH6 $369K 0,04 409.000 DBT US
CENTERPOINT ENER HOUSTON 15189XBH0 $368K 0,04 372.000 DBT US
FIFTH THIRD BANCORP 316773DG2 $366K 0,04 366.000 DBT US
BIOGEN INC 09062XAL7 $363K 0,04 349.000 DBT US
CCO HLDGS LLC/CAP CORP 1248EPCK7 $363K 0,04 400.000 DBT US
KLABIN AUSTRIA GMBH 49836AAB0 $363K 0,04 355.000 DBT AT
PARK INTERMED HOLDINGS 70052LAB9 $362K 0,04 363.000 DBT US
GLP CAPITAL LP / FIN II 361841AL3 $362K 0,04 359.000 DBT US
UMBS, TBA 01F032450 $360K 0,04 375.000 ABS-MBS US
KRAFT HEINZ FOODS CO 50077LBM7 $360K 0,04 355.000 DBT US
QUANTA SERVICES INC 74762EAN2 $358K 0,04 361.000 DBT US
CITIZENS FINANCIAL GROUP 174610BH7 $355K 0,03 345.000 DBT US
ENOVA INTERNATIONAL INC 29357KAH6 $352K 0,03 333.000 DBT US
MOTOROLA SOLUTIONS INC 620076CB3 $347K 0,03 342.000 DBT US
EXTRA SPACE STORAGE LP 30225VAU1 $346K 0,03 344.000 DBT US
IDEX CORP 45167RAJ3 $345K 0,03 342.000 DBT US
KEURIG DR PEPPER INC 49271VAP5 $344K 0,03 350.000 DBT US
VENTURE GLOBAL PLAQUE 922966AA4 $343K 0,03 309.000 DBT US
HEALTHPEAK OP LLC 42250GAB9 $343K 0,03 349.000 DBT US
BROOKFIELD ASSET MANAGEM 113004AB1 $342K 0,03 345.000 DBT CA
HYATT HOTELS CORP 448579AU6 $341K 0,03 338.000 DBT US
KRAFT HEINZ FOODS CO 50077LBN5 $336K 0,03 334.000 DBT US
CARLISLE COS INC 142339AJ9 $336K 0,03 359.000 DBT US
TEXTRON INC 883203CE9 $333K 0,03 326.000 DBT US
Pagina 13 di 18

Suddivisione settoriale

Altro/Non mappato
100,0%

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