ISHARES TR - CORE US AGGBD ET (AGG)

Historical Holders from Q1 2014 to Q1 2025

Symbol
AGG
CUSIP
464287226
Type / Class
Equity / CORE US AGGBD ET
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
1.09B
Holdings value
$106B
% of all portfolios
0.337%
Grand Portfolio weight change
+0.008%
Number of holders
1897
Number of buys
998
Number of sells
-683
Average Value change %
-0.01%
Average buys %
+0.049%
Average sells %
-0.056%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - CORE US AGGBD ET (AGG)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 77.4M $7.65B -$1.01B $98.92 394
2024 Q4 1.09B $106B +$4.51B $96.90 1,897
2024 Q3 1.04B $105B +$4.35B $101.27 1,780
2024 Q2 987M $95.8B +$6.21B $97.07 1,747
2024 Q1 925M $90.6B +$3.04B $97.94 1,732
2023 Q4 894M $88.7B +$4.96B $99.25 1,727
2023 Q3 810M $76.2B +$2.61B $94.04 1,575
2023 Q2 803M $78.6B +$5.42B $97.95 1,600
2023 Q1 747M $74.4B +$4.45B $99.64 1,584
2022 Q4 709M $68.8B +$4.2B $96.99 1,596
2022 Q3 659M $63.5B +$376M $96.34 1,457
2022 Q2 657M $66.8B +$743M $101.68 1,502
2022 Q1 651M $69.7B +$221M $107.10 1,513
2021 Q4 648M $73.9B +$3.21B $114.08 1,559
2021 Q3 615M $70.7B +$1.15B $114.83 1,414
2021 Q2 612M $70.5B +$4.63B $115.33 1,433
2021 Q1 574M $65.2B +$2.21B $113.83 1,428
2020 Q4 552M $65.1B +$3.98B $118.19 1,430
2020 Q3 518M $61.1B +$4.36B $118.06 1,278
2020 Q2 481M $56.9B +$2.18B $118.21 1,268
2020 Q1 458M $52.9B -$2.49B $115.37 1,198
2019 Q4 483M $54.2B +$2.47B $112.37 1,168
2019 Q3 455M $51.4B -$626M $113.17 1,026
2019 Q2 455M $50.7B +$4.87B $111.35 994
2019 Q1 415M $45.3B -$21M $109.07 967
2018 Q4 415M $44.1B -$95.2M $106.49 969
2018 Q3 394M $41.6B +$1.16B $105.52 851
2018 Q2 399M $42.4B +$1.02B $106.32 853
2018 Q1 395M $42.4B +$2.77B $107.25 862
2017 Q4 370M $40.5B +$1.57B $109.33 879
2017 Q3 355M $38.8B +$2.52B $109.59 759
2017 Q2 332M $36.3B +$3.63B $109.51 749
2017 Q1 299M $32.2B +$5.09B $108.49 740
2016 Q4 282M $30.3B +$1.76B $108.06 742
2016 Q3 268M $29.9B +$2.23B $112.42 677
2016 Q2 247M $27.8B +$1.35B $112.61 683
2016 Q1 231M $25.6B +$2.73B $110.82 644
2015 Q4 206M $22.2B +$4.23B $108.01 640
2015 Q3 164M $18B +$1.27B $109.58 573
2015 Q2 151M $16.5B +$667M $108.78 563
2015 Q1 141M $15.7B +$479M $111.43 558
2014 Q4 141M $15.5B +$3.08B $110.12 532
2014 Q3 110M $12B +$1.09B $109.11 442
2014 Q2 99.8M $10.9B +$829M $109.40 443
2014 Q1 91.8M $9.91B +$210M $107.91 425