ISHARES SHORT TREASURY BOND ETF - Common Stock (SHV)

Historical Holders from Q1 2014 to Q3 2025

Symbol
SHV
CUSIP
464288679
Type / Class
Equity / Common Stock
Shares outstanding
188M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
86M
Holdings value
$9.5B
% of all portfolios
0.065%
Grand Portfolio weight change
+0%
Number of holders
660
Number of buys
281
Number of sells
-354
Average Value change %
-0.01%
Average buys %
+0.005%
Average sells %
-0.012%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ISHARES SHORT TREASURY BOND ETF - Common Stock (SHV)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock Portfolio Management LLC 10.3% +4% $2.14B $86.3M 19.4M +4.2% BlackRock Portfolio Management LLC Oct 31, 2025

Institutional Holders of ISHARES SHORT TREASURY BOND ETF - Common Stock (SHV)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 86M $9.5B +$117M $110.49 660
2025 Q2 86.2M $9.51B -$158M $110.42 709
2025 Q1 87.1M $9.61B +$526M $110.46 716
2024 Q4 82.3M $9.06B -$292M $110.11 713
2024 Q3 85.8M $9.49B +$108M $110.63 667
2024 Q2 82.2M $9.09B +$940M $110.50 656
2024 Q1 75.5M $8.34B -$468M $110.54 669
2023 Q4 332K $36.6M -$11.4M $110.13 15
2023 Q3 92M $10.2B -$142M $110.47 634
2023 Q2 93.1M $10.3B -$3.89B $110.45 616
2023 Q1 128M $14.1B +$2.72B $110.50 594
2022 Q4 102M $11.2B -$2.13B $109.92 577
2022 Q3 131M $14.4B +$1.73B $110.00 537
2022 Q2 117M $12.8B +$4.17B $110.10 516
2022 Q1 74.5M $8.21B +$2.93B $110.25 480
2021 Q4 48M $5.3B -$50M $110.42 454
2021 Q3 55.7M $6.15B -$76.7M $110.47 413
2021 Q2 57.2M $6.33B -$966M $110.49 435
2021 Q1 65.1M $7.2B -$727M $110.51 452
2020 Q4 68.5M $7.57B -$1.62B $110.53 449
2020 Q3 83.3M $9.22B -$1.78B $110.70 434
2020 Q2 99.6M $11B -$2.55B $110.74 469
2020 Q1 122M $13.6B +$5.52B $111.02 436
2019 Q4 73M $8.06B -$761M $110.46 384
2019 Q3 71M $7.86B -$2.09B $110.62 340
2019 Q2 95.8M $10.6B +$4.5B $110.65 312
2019 Q1 55.1M $6.09B -$2.43B $110.57 297
2018 Q4 77.3M $8.52B +$4.42B $110.30 302
2018 Q3 36.4M $4.02B -$354M $110.44 218
2018 Q2 39.3M $4.33B +$297M $110.44 212
2018 Q1 36.6M $4.04B +$2.02B $110.37 184
2017 Q4 18.2M $2.01B +$786M $110.24 144
2017 Q3 11M $1.21B +$239M $110.39 136
2017 Q2 8.48M $936M -$205M $110.33 129
2017 Q1 10.7M $1.18B +$126M $110.34 131
2016 Q4 10.6M $1.16B -$211M $110.30 133
2016 Q3 12.3M $1.35B -$535M $110.43 111
2016 Q2 17.2M $1.9B -$113M $110.45 111
2016 Q1 18.1M $2B +$613M $110.36 110
2015 Q4 13.1M $1.44B -$523M $110.22 120
2015 Q3 15.7M $1.73B +$993M $110.31 112
2015 Q2 7.24M $798M -$2.4B $110.29 100
2015 Q1 29M $3.05B +$1.62B $110.27 105
2014 Q4 10.8M $1.19B +$272M $110.25 97
2014 Q3 8.12M $896M +$214M $110.25 87
2014 Q2 6.18M $682M -$521M $110.27 87
2014 Q1 9.26M $1.02B +$72.2M $110.27 94