iShares 3-7 Year Treasury Bond ETF - Exchange Traded Fund (IEI)

Historical Holders from Q1 2014 to Q3 2025

Symbol
IEI
CUSIP
464288661
Type / Class
Equity / Exchange Traded Fund
Shares outstanding
133M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
119M
Holdings value
$14.2B
% of all portfolios
0.06%
Grand Portfolio weight change
+0.002%
Number of holders
772
Number of buys
423
Number of sells
-285
Average Value change %
+0%
Average buys %
+0.006%
Average sells %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of iShares 3-7 Year Treasury Bond ETF - Exchange Traded Fund (IEI)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Invesco Ltd. 4.8% $752M 6.4M Invesco Ltd. Mar 31, 2025

Institutional Holders of iShares 3-7 Year Treasury Bond ETF - Exchange Traded Fund (IEI)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 119M $14.2B +$1.48B $119.51 772
2025 Q2 107M $12.8B -$247M $119.09 769
2025 Q1 107M $12.6B +$670M $118.14 764
2024 Q4 101M $11.7B +$300M $115.55 719
2024 Q3 98.8M $11.8B +$1.04B $119.61 718
2024 Q2 91M $10.5B +$277M $115.47 656
2024 Q1 88.6M $10.3B -$100M $115.81 661
2023 Q4 413K $48.4M +$4.57M $117.13 13
2023 Q3 102M $11.5B +$1.09B $113.16 581
2023 Q2 88.8M $10.2B +$342M $115.26 591
2023 Q1 86.5M $10.2B -$32.7M $117.65 564
2022 Q4 89.6M $10.3B +$65.2M $114.89 557
2022 Q3 88.5M $10.1B +$277M $114.28 522
2022 Q2 84.5M $10.1B +$2.24B $119.34 532
2022 Q1 66.1M $8.07B +$237M $122.05 521
2021 Q4 64.3M $8.28B -$848M $128.67 521
2021 Q3 68.4M $8.91B +$214M $130.17 489
2021 Q2 67.5M $8.81B -$400M $130.53 482
2021 Q1 70.3M $9.13B +$615M $129.89 495
2020 Q4 65.9M $8.77B +$236M $132.98 496
2020 Q3 62.3M $8.32B -$303M $133.59 465
2020 Q2 64M $8.55B +$111M $133.67 480
2020 Q1 62M $8.26B +$666M $133.34 442
2019 Q4 58.7M $7.38B -$285M $125.75 393
2019 Q3 60M $7.61B +$1.89B $126.80 361
2019 Q2 44.5M $5.6B +$429M $125.76 358
2019 Q1 41.9M $5.16B -$1.59B $123.20 363
2018 Q4 54.5M $6.61B +$666M $121.40 334
2018 Q3 50.6M $6.03B +$544M $119.07 303
2018 Q2 46.1M $5.53B +$176M $120.00 297
2018 Q1 44.8M $5.41B +$392M $120.62 285
2017 Q4 41.5M $5.08B -$579M $122.16 289
2017 Q3 45.9M $5.67B +$1.23B $123.51 274
2017 Q2 36M $4.45B +$496M $123.57 270
2017 Q1 31.9M $3.93B +$197M $123.05 261
2016 Q4 30.3M $3.72B -$746M $122.51 258
2016 Q3 35.8M $4.54B +$301M $126.54 259
2016 Q2 32.9M $4.19B -$238M $127.35 259
2016 Q1 35.4M $4.46B +$896M $125.95 257
2015 Q4 28.3M $3.48B -$1.21B $122.61 236
2015 Q3 37.7M $4.7B +$2.34B $124.65 232
2015 Q2 26.6M $3.27B +$216M $122.96 201
2015 Q1 24.8M $3.08B +$274M $124.17 187
2014 Q4 22.6M $2.76B +$376M $122.31 188
2014 Q3 19.3M $2.34B +$385M $121.32 158
2014 Q2 16.1M $1.96B -$31.9M $121.80 147
2014 Q1 16.3M $1.97B +$257M $120.71 153