iShares iBoxx $ Investment Grade Corporate Bond ETF - Common Stock (LQD) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Common Stock
Symbol
LQD
Shares outstanding
285,243,327
Price per share
$110.19
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
269,504,426
Total reported value
$30,040,630,052
% of total 13F portfolios
0.07%
Share change
+6,840,268
Value change
+$771,822,876
Number of holders
1,037
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of iShares iBoxx $ Investment Grade Corporate Bond ETF - Common Stock (LQD) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock Portfolio Management LLC 4.9% -10% $1,558,007,607 -$82,201,991 13,976,923 -5% BlackRock Portfolio Management LLC 30 Sep 2025
BlackRock, Inc. 0% $7,861,017 74,689 BlackRock, Inc. 31 Mar 2025

As of 30 Sep 2025, 1,037 institutional investors reported holding 269,504,426 shares of iShares iBoxx $ Investment Grade Corporate Bond ETF - Common Stock (LQD). This represents 94% of the company’s total 285,243,327 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of iShares iBoxx $ Investment Grade Corporate Bond ETF - Common Stock (LQD) together control 64% of the company’s outstanding shares — a level of ownership often associated with strong institutional conviction and long‑term capital commitment.

Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
Meiji Yasuda Life Insurance Co 6.7% 19,120,368 0% 61% $2,131,347,421
BANK OF AMERICA CORP /DE/ 6.6% 18,950,293 +4.9% 0.16% $2,112,389,177
Nuveen, LLC 6.2% 17,695,349 +99% 0.52% $1,972,500,553
BlackRock, Inc. 4.9% 13,938,441 -2.6% 0.03% $1,553,717,985
Japan Science & Technology Agency 4.6% 13,206,450 -4.3% 26% $1,472,122,982
Financial Engines Advisors L.L.C. 3.8% 10,782,315 +1.2% 2.3% $1,201,904,653
MORGAN STANLEY 3.6% 10,132,388 -38% 0.07% $1,129,457,485
Wealthfront Advisers LLC 3.5% 10,119,085 +9.3% 2.6% $1,127,974,420
Allianz Investment Management U.S. LLC 2.8% 7,862,205 0% 33% $876,399,991
TD Asset Management Inc 2.2% 6,327,844 +2733% 0.57% $705,364,771
ENVESTNET ASSET MANAGEMENT INC 2% 5,703,391 +16% 0.18% $635,756,965
ROYAL BANK OF CANADA 1.7% 4,770,231 +315% 0.09% $531,737,000
GOLDMAN SACHS GROUP INC 1.5% 4,404,550 +16% 0.07% $490,975,189
UBS Group AG 1.5% 4,364,301 -13% 0.1% $486,488,633
WELLS FARGO & COMPANY/MN 1.5% 4,337,179 -15% 0.1% $483,465,389
National Mutual Insurance Federation of Agricultural Cooperatives 1.4% 4,040,400 0% 3.4% $450,383,388
LPL Financial LLC 1.4% 3,947,833 +18% 0.13% $440,064,919
APG Asset Management US Inc. 1.2% 3,441,813 -22% 2.8% $383,796,568
Mitsubishi UFJ Asset Management Co., Ltd. 1.2% 3,373,135 +3% 0.27% $376,003,358
D. E. Shaw & Co., Inc. 1.2% 3,319,000 0.3% $369,968,930
AMERIPRISE FINANCIAL INC 1.1% 3,276,638 -28% 0.08% $365,132,926
BARINGS LLC 0.97% 2,771,727 +3764% 5.9% $308,964,409
JANE STREET GROUP, LLC 0.94% 2,680,658 +4740% 0.35% $298,812,947
NORTHWESTERN MUTUAL INVESTMENT MANAGEMENT COMPANY, LLC 0.94% 2,670,204 +24% 4.3% $297,647,640
Caisse de depot et placement du Quebec 0.87% 2,487,012 0.5% $277,227,218

Institutional Holders of iShares iBoxx $ Investment Grade Corporate Bond ETF - Common Stock (LQD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 7,057,011 $777,664,261 +$34,092,444 $110.19 140
2025 Q3 269,504,426 $30,040,630,052 +$771,822,876 $111.47 1,037
2025 Q2 264,436,364 $28,983,929,873 +$746,992,986 $109.61 1,039
2025 Q1 257,544,632 $27,967,058,701 +$1,807,671,401 $108.69 1,018
2024 Q4 238,967,449 $25,536,076,809 -$1,042,831,414 $106.84 1,065
2024 Q3 247,654,863 $27,976,592,817 -$229,313,165 $112.98 1,046
2024 Q2 248,356,067 $26,606,415,638 -$2,857,341,408 $107.12 1,008
2024 Q1 274,747,533 $29,920,597,226 -$1,351,822,025 $108.92 1,056
2023 Q4 2,395,215 $265,054,323 -$36,643,007 $110.66 11
2023 Q3 280,628,976 $28,629,367,929 -$715,576,760 $102.02 1,014
2023 Q2 287,553,320 $31,093,757,013 -$1,462,915,792 $108.14 997
2023 Q1 292,094,740 $32,012,340,771 -$1,319,259,892 $109.61 986
2022 Q4 303,895,203 $32,045,720,583 -$213,614,850 $105.43 999
2022 Q3 286,799,789 $29,387,846,319 +$2,169,035,597 $102.45 956
2022 Q2 265,664,711 $29,234,847,738 -$349,844,973 $110.03 977
2022 Q1 267,243,758 $32,294,612,844 +$93,933,369 $120.94 1,048
2021 Q4 264,828,840 $35,094,422,009 -$1,499,880,125 $132.52 1,107
2021 Q3 276,863,192 $36,884,195,661 -$233,415,611 $133.03 1,023
2021 Q2 277,198,336 $37,252,445,496 -$5,839,838,234 $134.36 1,044
2021 Q1 320,706,793 $41,712,603,652 -$7,344,105,414 $130.05 1,067
2020 Q4 375,535,672 $51,861,972,820 +$1,357,239,532 $138.13 1,139
2020 Q3 346,453,425 $46,665,503,731 +$2,690,863,603 $134.71 1,029
2020 Q2 322,916,226 $43,416,489,630 +$7,640,752,268 $134.50 1,017
2020 Q1 262,827,637 $32,470,011,524 +$3,519,473,739 $123.51 917
2019 Q4 228,963,585 $29,306,141,949 -$404,477,283 $127.96 913
2019 Q3 227,143,491 $28,955,133,185 -$3,523,880,612 $127.48 821
2019 Q2 256,340,742 $31,878,979,159 +$3,849,369,232 $124.37 804
2019 Q1 226,192,309 $26,929,756,440 +$1,759,645,126 $119.06 761
2018 Q4 210,084,623 $23,708,115,846 -$2,078,622,189 $112.82 738
2018 Q3 224,613,413 $25,802,946,569 +$1,654,524,039 $114.93 695
2018 Q2 219,514,267 $25,152,647,560 +$1,723,472,394 $114.57 711
2018 Q1 206,217,600 $24,193,331,622 -$1,813,355,057 $117.39 733
2017 Q4 221,126,703 $26,877,599,478 +$82,249,015 $121.56 743
2017 Q3 217,993,935 $26,433,720,955 +$2,555,797,199 $121.23 675
2017 Q2 196,812,627 $23,714,479,870 +$3,212,885,638 $120.51 662
2017 Q1 170,608,739 $20,113,828,227 +$2,377,146,773 $117.91 650
2016 Q4 152,173,384 $17,835,600,185 -$4,728,884,922 $117.18 645
2016 Q3 188,784,515 $23,246,843,749 +$2,572,104,805 $123.18 617
2016 Q2 168,003,891 $20,634,077,050 +$563,576,747 $122.73 600
2016 Q1 164,145,182 $19,511,117,220 +$1,071,319,760 $118.82 595
2015 Q4 155,895,418 $17,773,431,272 +$2,315,563,737 $114.01 562
2015 Q3 132,288,940 $15,357,248,165 +$2,029,946,193 $116.09 516
2015 Q2 118,338,201 $13,693,571,155 -$169,908,155 $115.72 533
2015 Q1 119,677,785 $14,564,270,569 +$2,181,480,962 $121.71 551
2014 Q4 101,749,118 $12,149,187,045 +$1,065,314,956 $119.41 526
2014 Q3 91,023,388 $10,764,289,610 -$99,503,482 $118.22 460
2014 Q2 91,982,793 $10,966,760,879 +$456,743,795 $119.26 463
2014 Q1 87,952,447 $10,285,570,573 +$768,932,615 $116.94 452