ISHARES U S ETF TR - SHORT DURATION B (NEAR)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / SHORT DURATION B
Symbol
NEAR
Price per share
$51.10
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
44,096,275
Total reported value
$2,261,031,236
% of total 13F portfolios
0.02%
Share change
+3,494,846
Value change
+$179,244,774
Number of holders
372
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES U S ETF TR - SHORT DURATION B (NEAR) has 372 institutional shareholders filing 13F forms. They hold 44,096,275 shares. .

Institutional Holders of ISHARES U S ETF TR - SHORT DURATION B (NEAR) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 1,078,153 $55,109,119 +$4,384,644 $51.10 17
2025 Q3 44,096,275 $2,261,031,236 +$179,244,774 $51.28 372
2025 Q2 40,969,681 $2,093,258,767 +$50,456,241 $51.10 371
2025 Q1 40,111,310 $2,037,619,616 +$196,952,621 $50.87 360
2024 Q4 37,390,477 $1,885,836,947 +$83,954,076 $50.50 343
2024 Q3 35,353,407 $1,808,312,529 -$71,917,374 $51.24 322
2024 Q2 36,763,958 $1,850,446,495 -$14,356,521 $50.33 316
2024 Q1 37,002,226 $1,866,950,859 +$20,743,381 $50.46 326
2023 Q4 41,555 $2,099,331 -$45,146 $50.52 5
2023 Q3 40,367,688 $2,013,844,337 -$254,299,012 $49.89 326
2023 Q2 45,275,947 $2,251,050,314 -$369,454,155 $49.72 319
2023 Q1 52,565,106 $2,607,178,072 -$77,748,477 $49.60 328
2022 Q4 61,434,109 $3,026,971,092 +$51,345,296 $49.27 350
2022 Q3 61,000,154 $3,004,708,318 +$54,789,727 $49.26 325
2022 Q2 59,883,952 $2,949,835,757 +$398,379,349 $49.26 342
2022 Q1 50,634,017 $2,509,882,578 -$215,259,727 $49.57 346
2021 Q4 54,757,720 $2,735,242,605 +$72,452,097 $49.95 356
2021 Q3 52,243,819 $2,619,499,383 -$30,370,287 $50.14 353
2021 Q2 52,807,786 $2,649,155,402 +$99,793,598 $50.16 358
2021 Q1 52,027,750 $2,611,314,902 +$72,620,251 $50.19 366
2020 Q4 50,533,733 $2,535,409,440 -$849,589,981 $50.17 372
2020 Q3 66,353,178 $3,325,139,708 -$382,601,737 $50.11 351
2020 Q2 74,450,156 $3,722,668,827 -$769,587,538 $50.01 362
2020 Q1 89,527,544 $4,339,917,602 +$215,006,797 $48.49 367
2019 Q4 86,876,776 $4,365,796,844 -$601,558,179 $50.25 383
2019 Q3 98,021,708 $4,934,316,630 +$105,248,510 $50.34 328
2019 Q2 93,780,888 $4,715,183,972 +$2,601,919 $50.33 308
2019 Q1 95,923,796 $4,819,042,897 +$398,879,078 $50.24 297
2018 Q4 92,112,129 $4,592,228,910 +$1,153,216,380 $49.85 279
2018 Q3 65,640,947 $3,294,596,964 +$368,126,156 $50.18 215
2018 Q2 54,939,575 $2,756,147,678 +$480,795,322 $50.17 199
2018 Q1 49,747,477 $2,495,094,324 +$555,401,697 $50.16 186
2017 Q4 34,744,415 $1,741,417,837 -$48,459,116 $50.12 171
2017 Q3 35,363,130 $1,778,412,105 +$193,920,555 $50.29 134
2017 Q2 31,582,545 $1,587,545,347 -$116,953,095 $50.27 129
2017 Q1 32,481,045 $1,632,114,575 -$26,127,612 $50.25 116
2016 Q4 36,596,210 $1,826,221,265 +$112,239,495 $50.18 101
2016 Q3 33,436,915 $1,678,167,068 -$785,733,792 $50.19 90
2016 Q2 49,092,682 $2,460,941,448 -$251,757,963 $50.17 85
2016 Q1 54,082,264 $2,707,313,035 +$361,780,556 $50.06 81
2015 Q4 46,792,443 $2,340,525,917 +$377,802,805 $50.02 68
2015 Q3 39,224,216 $1,964,714,927 +$1,079,250,550 $50.09 64
2015 Q2 17,795,672 $892,238,059 +$557,792,466 $50.14 52
2015 Q1 6,670,673 $334,530,325 -$8,404,191 $50.15 49
2014 Q4 6,838,147 $342,043,320 +$283,835,097 $50.02 42
2014 Q3 531,669 $26,683,000 +$25,456,758 $50.19 4
2014 Q2 24,427 $1,228,000 -$2,395,690 $50.25 3
2014 Q1 72,143 $3,622,000 +$2,637,455 $50.20 3