ISHARES U S ETF TR - INFLATION HEDG (LQDI)

Historical Holders from Q2 2018 to Q3 2025

Type / Class
Equity / INFLATION HEDG
Symbol
LQDI
Price per share
$26.52
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
2,670,974
Total reported value
$71,875,377
% of total 13F portfolios
0%
Share change
+242,471
Value change
+$6,535,047
Number of holders
17
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES U S ETF TR - INFLATION HEDG (LQDI) has 17 institutional shareholders filing 13F forms. They hold 2,670,974 shares. .

Institutional Holders of ISHARES U S ETF TR - INFLATION HEDG (LQDI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 2,670,974 $71,875,377 +$6,535,047 $26.91 17
2025 Q2 2,535,805 $66,763,148 +$2,879,590 $26.33 21
2025 Q1 2,426,551 $63,549,453 +$40,467,969 $26.19 18
2024 Q4 883,530 $22,483,294 +$2,248,771 $25.44 20
2024 Q3 793,563 $21,266,850 -$4,696,134 $26.81 20
2024 Q2 969,788 $28,010,571 +$7,348,675 $25.86 20
2024 Q1 461,701 $12,065,301 -$230,929 $26.15 20
2023 Q4 470,388 $12,342,443 -$5,235,182 $26.24 22
2023 Q3 682,522 $16,814,753 -$15,569,803 $24.64 22
2023 Q2 1,294,845 $33,393,628 +$5,168,051 $25.79 20
2023 Q1 1,092,561 $28,636,535 -$320,036 $26.21 25
2022 Q4 1,135,849 $28,539,300 -$1,145,977 $25.12 30
2022 Q3 1,188,056 $28,711,989 -$6,436,137 $24.13 25
2022 Q2 1,441,185 $37,478,800 -$788,544 $25.96 25
2022 Q1 1,451,215 $42,039,700 -$10,964,394 $29.02 23
2021 Q4 1,583,633 $48,439,338 +$32,153,927 $30.59 23
2021 Q3 265,929 $7,970,239 +$6,945,459 $29.98 9
2021 Q2 34,185 $1,010,909 -$562,714 $29.58 5
2021 Q1 53,222 $1,509,337 +$1,145,692 $28.35 5
2020 Q4 12,606 $367,666 -$1,256,699 $29.16 3
2020 Q3 55,932 $1,551,615 -$4,209,859 $27.74 4
2020 Q2 215,831 $5,749,656 -$521,170 $26.64 4
2020 Q1 235,400 $5,698,684 -$484,170 $24.21 2
2019 Q4 255,400 $6,832,701 -$524,357 $26.75 2
2019 Q3 275,000 $7,235,000 -$7,518,002 $26.31 1
2019 Q2 560,837 $14,625,000 +$7,051,407 $26.10 2
2019 Q1 290,417 $7,284,000 -$2,381,420 $25.09 2
2018 Q4 388,920 $9,292,000 +$94,067 $23.89 3
2018 Q3 385,000 $9,644,000 +$7,515,000 $25.05 2
2018 Q2 85,000 $2,113,000 +$2,112,998 $24.86 1