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
VERSANT MEDIA GROUP INC 925283AA1 $1.3M 0,13 1.290.000 DBT US
TRANSCANADA PIPELINES 89352HAW9 $1.3M 0,13 1.341.000 DBT CA
MARVELL TECHNOLOGY INC 573874AJ3 $1.3M 0,13 1.444.000 DBT US
CANADIAN IMPERIAL BANK 13607PVQ4 $1.3M 0,13 1.301.000 DBT CA
SAN DIEGO G & E 797440CG7 $1.3M 0,13 1.304.000 DBT US
HSBC HOLDINGS PLC 404280DR7 $1.3M 0,13 1.274.000 DBT GB
DOLLAR TREE INC 256746AH1 $1.3M 0,13 1.333.000 DBT US
CANADIAN IMPERIAL BANK 13607QFE7 $1.3M 0,13 1.333.000 DBT CA
Freddie Mac 3132CW3K8 $1.3M 0,13 1.436.839 ABS-MBS US
MORGAN STANLEY 61747YEV3 $1.3M 0,13 1.286.000 DBT US
SABRA HEALTH CARE LP 78574MAA1 $1.3M 0,13 1.458.000 DBT US
ONEOK INC 682680BL6 $1.3M 0,13 1.253.000 DBT US
Freddie Mac 3142GWUZ0 $1.3M 0,13 1.325.263 ABS-MBS US
AMEREN CORP 023608AR3 $1.3M 0,13 1.297.000 DBT US
NATIONAL GRID PLC 636274AE2 $1.3M 0,13 1.255.000 DBT GB
WESTINGHOUSE AIR BRAKE 960386AM2 $1.3M 0,13 1.305.000 DBT US
BANK OF AMERICA CORP 06051GGR4 $1.3M 0,13 1.320.000 DBT US
AMERICAN ELECTRIC POWER 025537AX9 $1.3M 0,13 1.263.000 DBT US
TARGA RESOURCES PARTNERS 87612BBU5 $1.3M 0,13 1.368.000 DBT US
ARES CAPITAL CORP 04010LBF9 $1.3M 0,13 1.290.000 DBT US
UMBS, TBA 01F060659 $1.3M 0,13 1.275.000 ABS-MBS US
PPL CAPITAL FUNDING INC 69352PAT0 $1.3M 0,13 1.289.000 DBT US
Fannie Mae 31418FU47 $1.3M 0,13 1.333.611 ABS-MBS US
MPLX LP 55336VCA6 $1.3M 0,13 1.289.000 DBT US
Government National Mortgage Association 36179W5C8 $1.3M 0,13 1.447.402 ABS-MBS US
TRIMBLE INC 896239AE0 $1.3M 0,13 1.219.000 DBT US
United States Treasury 912810RQ3 $1.3M 0,13 1.865.000 DBT US
MPT OPER PARTNERSP/FINL 55342UAJ3 $1.3M 0,12 1.535.000 DBT US
Fannie Mae 3140QTUZ0 $1.3M 0,12 1.203.672 ABS-MBS US
HEALTHPEAK OP LLC 42250PAE3 $1.3M 0,12 1.243.000 DBT US
AMERICAN ELECTRIC POWER 025537AY7 $1.3M 0,12 1.230.000 DBT US
MORGAN STANLEY 61744YAP3 $1.2M 0,12 1.252.000 DBT US
CVS HEALTH CORP 126650DT4 $1.2M 0,12 1.206.000 DBT US
FLORIDA POWER & LIGHT CO 341081GQ4 $1.2M 0,12 1.218.000 DBT US
TAKEDA PHARMACEUTICAL 874060AW6 $1.2M 0,12 1.200.000 DBT JP
CHENIERE CORP CHRISTI HD 16412XAG0 $1.2M 0,12 1.210.000 DBT US
VISA INC 92826CAE2 $1.2M 0,12 1.265.000 DBT US
ENTERGY MISSISSIPPI LLC 29366WAH9 $1.2M 0,12 1.225.000 DBT US
T-MOBILE USA INC 87264ABX2 $1.2M 0,12 1.361.000 DBT US
HSBC HOLDINGS PLC 404280BT5 $1.2M 0,12 1.196.000 DBT GB
Fannie Mae 3140XFX71 $1.2M 0,12 1.338.389 ABS-MBS US
MORGAN STANLEY 61747YER2 $1.2M 0,12 1.187.000 DBT US
ORACLE CORP 68389XCJ2 $1.2M 0,12 1.152.000 DBT US
EXTRA SPACE STORAGE LP 30225VAK3 $1.2M 0,12 1.149.000 DBT US
COINBASE GLOBAL INC 19260QAC1 $1.2M 0,12 1.229.000 DBT US
TRONOX INC 897051AC2 $1.2M 0,12 1.408.000 DBT US
CARDINAL HEALTH INC 14149YBR8 $1.2M 0,12 1.161.000 DBT US
AMERICAN TOWER CORP 03027XCD0 $1.2M 0,12 1.143.000 DBT US
TARGA RESOURCES CORP 87612GAC5 $1.2M 0,12 1.113.000 DBT US
WELLS FARGO & COMPANY 95000U2S1 $1.2M 0,12 1.202.000 DBT US

Suddivisione settoriale

Altro/Non mappato
100,0%

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