ISHARES TR - 20 YR TR BD ETF (TLT)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / 20 YR TR BD ETF
Symbol
TLT
Price per share
$87.16
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
428,371,861
Holdings value
$38,286,396,598
% of all portfolios
0.08%
Share change
+26,317,314
Value change
+$2,357,679,151
Average buys %
+0.01%
Average sells %
-0.02%
Number of holders
1,084
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - 20 YR TR BD ETF (TLT) has 1,084 institutional shareholders filing 13F forms. They hold 428,371,861 shares .

Institutional Holders of ISHARES TR - 20 YR TR BD ETF (TLT) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 2,039,119 $176,829,540 -$8,888,004 $87.16 61
2025 Q3 428,371,861 $38,286,396,598 +$2,357,679,151 $89.37 1,084
2025 Q2 404,239,483 $35,669,515,623 -$4,786,510,404 $88.25 1,094
2025 Q1 458,177,764 $41,697,379,407 +$4,042,003,991 $91.03 1,165
2024 Q4 413,330,594 $36,110,986,303 -$6,500,361,165 $87.33 1,192
2024 Q3 485,945,250 $47,658,125,102 +$6,485,712,795 $98.10 1,192
2024 Q2 417,281,989 $38,310,099,787 +$3,569,025,938 $91.78 1,101
2024 Q1 378,029,686 $35,765,781,460 -$1,235,747,171 $94.62 1,132
2023 Q4 1,438,637 $142,252,958 +$9,282,671 $98.88 18
2023 Q3 310,044,217 $27,490,395,595 +$2,601,042,138 $88.69 907
2023 Q2 277,557,158 $28,565,827,493 +$5,008,278,685 $102.94 852
2023 Q1 228,490,755 $24,307,010,767 +$3,478,676,925 $106.37 786
2022 Q4 196,329,354 $19,563,176,922 +$2,439,306,900 $99.56 755
2022 Q3 147,573,411 $15,112,032,128 +$4,252,218,706 $102.45 697
2022 Q2 126,579,969 $14,531,579,555 +$603,911,898 $114.87 662
2022 Q1 120,744,447 $15,921,922,291 -$1,217,722,866 $132.08 633
2021 Q4 129,785,535 $19,230,954,604 +$2,148,210,006 $148.19 641
2021 Q3 105,283,897 $15,198,751,530 +$951,010,350 $144.32 581
2021 Q2 99,979,401 $14,454,387,510 +$700,750,040 $144.35 553
2021 Q1 80,587,338 $10,925,420,993 -$1,409,109,056 $135.45 571
2020 Q4 102,351,555 $16,135,792,072 +$367,802,603 $157.73 610
2020 Q3 99,945,543 $16,336,570,480 +$1,134,517,239 $163.26 604
2020 Q2 92,978,291 $15,243,562,649 +$1,926,371,829 $163.93 573
2020 Q1 81,227,934 $13,415,138,858 -$1,250,290,382 $164.97 567
2019 Q4 75,173,962 $10,193,626,376 +$194,456,321 $135.48 548
2019 Q3 79,204,645 $11,332,870,259 +$1,124,017,934 $143.08 505
2019 Q2 70,582,249 $9,381,157,785 +$1,184,081,758 $132.81 454
2019 Q1 64,238,476 $8,121,475,513 -$405,058,572 $126.44 428
2018 Q4 65,159,945 $7,915,857,351 +$534,630,008 $121.51 383
2018 Q3 65,248,384 $7,651,063,049 +$1,399,560,564 $117.27 354
2018 Q2 55,285,858 $6,729,942,918 +$477,312,096 $121.72 350
2018 Q1 51,627,150 $6,287,206,279 +$222,506,751 $121.90 353
2017 Q4 49,544,100 $6,283,583,054 -$1,418,086,768 $126.86 364
2017 Q3 60,787,789 $7,581,614,061 +$986,074,503 $124.76 329
2017 Q2 52,813,548 $6,607,676,573 +$1,235,050,166 $125.12 315
2017 Q1 42,517,867 $5,133,046,812 +$588,317,956 $120.71 314
2016 Q4 38,116,954 $4,543,668,273 -$586,084,349 $119.13 310
2016 Q3 42,844,802 $5,885,447,554 -$1,181,180,061 $137.51 333
2016 Q2 51,140,347 $7,107,798,568 -$528,281,361 $138.90 350
2016 Q1 54,487,163 $7,117,259,596 +$963,696,367 $130.61 342
2015 Q4 47,684,132 $5,750,648,536 +$11,401,378 $120.58 272
2015 Q3 46,751,961 $5,774,609,149 +$995,885,224 $123.54 262
2015 Q2 38,245,339 $4,493,321,068 -$307,424,020 $117.46 244
2015 Q1 40,502,473 $5,293,163,447 -$1,138,438,780 $130.69 263
2014 Q4 50,139,838 $6,311,176,862 +$638,025,387 $125.92 244
2014 Q3 47,581,065 $5,531,649,648 -$257,957,248 $116.27 209
2014 Q2 49,911,861 $5,661,120,553 -$366,279,929 $113.52 198
2014 Q1 52,143,857 $5,688,215,431 +$858,813,802 $109.10 178