iSHARES TRUST - Common Stock (LQD)

Historical Holders from Q1 2014 to Q1 2025

Symbol
LQD
CUSIP
464287242
Type / Class
Equity / Common Stock
Shares outstanding
272M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
239M
Holdings value
$25.5B
% of all portfolios
0.079%
Grand Portfolio weight change
-0.002%
Number of holders
1064
Number of buys
441
Number of sells
-501
Average Value change %
-0.07%
Average buys %
+0.012%
Average sells %
-0.082%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of iSHARES TRUST - Common Stock (LQD)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock Portfolio Management LLC 5.4% $1.6B 14.7M BlackRock Portfolio Management LLC Mar 31, 2025
BlackRock, Inc. 0% $8.12M 74.7K BlackRock, Inc. Mar 31, 2025

Institutional Holders of iSHARES TRUST - Common Stock (LQD)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 7.13M $773M -$73.3M $108.69 219
2024 Q4 239M $25.5B -$1.05B $106.84 1,064
2024 Q3 248M $28B -$229M $112.98 1,046
2024 Q2 248M $26.6B -$2.86B $107.12 1,008
2024 Q1 275M $29.9B -$1.35B $108.92 1,056
2023 Q4 288M $31.9B +$428M $110.66 1,083
2023 Q3 281M $28.6B -$716M $102.02 1,014
2023 Q2 288M $31.1B -$1.46B $108.14 997
2023 Q1 292M $32B -$1.32B $109.61 986
2022 Q4 304M $32B -$214M $105.43 999
2022 Q3 287M $29.4B +$2.17B $102.45 956
2022 Q2 266M $29.2B -$350M $110.03 977
2022 Q1 267M $32.3B +$93.9M $120.94 1,048
2021 Q4 265M $35.1B -$1.5B $132.52 1,107
2021 Q3 277M $36.9B -$233M $133.03 1,023
2021 Q2 277M $37.3B -$5.84B $134.36 1,044
2021 Q1 321M $41.7B -$7.34B $130.05 1,067
2020 Q4 376M $51.9B +$1.36B $138.13 1,139
2020 Q3 346M $46.7B +$2.69B $134.71 1,029
2020 Q2 323M $43.4B +$7.64B $134.50 1,017
2020 Q1 263M $32.5B +$3.52B $123.51 917
2019 Q4 229M $29.3B -$404M $127.96 913
2019 Q3 227M $29B -$3.52B $127.48 821
2019 Q2 256M $31.9B +$3.85B $124.37 804
2019 Q1 226M $26.9B +$1.76B $119.06 761
2018 Q4 210M $23.7B -$2.08B $112.82 738
2018 Q3 225M $25.8B +$1.65B $114.93 695
2018 Q2 220M $25.2B +$1.72B $114.57 711
2018 Q1 206M $24.2B -$1.81B $117.39 733
2017 Q4 221M $26.9B +$82.2M $121.56 743
2017 Q3 218M $26.4B +$2.56B $121.23 675
2017 Q2 197M $23.7B +$3.21B $120.51 662
2017 Q1 171M $20.1B +$2.38B $117.91 650
2016 Q4 152M $17.8B -$4.73B $117.18 645
2016 Q3 189M $23.2B +$2.57B $123.18 617
2016 Q2 168M $20.6B +$564M $122.73 600
2016 Q1 164M $19.5B +$1.07B $118.82 595
2015 Q4 156M $17.8B +$2.32B $114.01 562
2015 Q3 132M $15.4B +$2.03B $116.09 516
2015 Q2 118M $13.7B -$170M $115.72 533
2015 Q1 120M $14.6B +$2.18B $121.71 551
2014 Q4 102M $12.1B +$1.07B $119.41 526
2014 Q3 91M $10.8B -$99.5M $118.22 460
2014 Q2 92M $11B +$457M $119.26 463
2014 Q1 88M $10.3B +$769M $116.94 452