ISHARES U S ETF TR - SHORT MATURITY M (MEAR)

Historical Holders from Q1 2015 to Q4 2025

Type / Class
Equity / SHORT MATURITY M
Symbol
MEAR
Price per share
$50.32
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
19,077,914
Total reported value
$963,570,803
% of total 13F portfolios
0.01%
Share change
+1,663,416
Value change
+$84,039,599
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
188
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES U S ETF TR - SHORT MATURITY M (MEAR) has 188 institutional shareholders filing 13F forms. They hold 19,077,914 shares .

Institutional Holders of ISHARES U S ETF TR - SHORT MATURITY M (MEAR) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 186,344 $9,378,330 +$85,068 $50.32 10
2025 Q3 19,077,914 $963,570,803 +$84,039,599 $50.51 188
2025 Q2 17,378,705 $873,620,609 +$128,058,397 $50.27 182
2025 Q1 14,833,960 $745,208,399 +$143,519,419 $50.24 169
2024 Q4 12,059,434 $602,513,203 +$24,499,118 $49.95 159
2024 Q3 11,642,105 $585,728,728 +$40,054,009 $50.32 144
2024 Q2 10,887,540 $546,006,778 -$904,251 $50.15 139
2024 Q1 10,691,988 $535,857,890 -$4,148,595 $50.12 129
2023 Q4 8,855 $442,658 $49.99 1
2023 Q3 10,044,971 $500,342,087 +$94,747,963 $49.81 114
2023 Q2 8,138,773 $406,041,181 +$45,743,338 $49.89 106
2023 Q1 7,244,262 $361,904,044 -$69,648,169 $49.96 105
2022 Q4 8,697,508 $432,451,074 +$32,297,866 $49.72 109
2022 Q3 8,003,995 $397,361,229 +$127,646,543 $49.65 104
2022 Q2 5,429,358 $269,947,275 +$59,100,306 $49.72 104
2022 Q1 4,198,684 $208,923,599 +$24,168,931 $49.76 92
2021 Q4 3,876,215 $194,228,930 +$3,870,645 $50.11 94
2021 Q3 3,767,353 $188,985,863 +$32,478,340 $50.16 85
2021 Q2 3,150,734 $158,131,040 -$16,593,024 $50.19 85
2021 Q1 3,468,931 $174,308,545 -$1,369,721 $50.25 90
2020 Q4 3,452,238 $173,418,705 +$3,796,265 $50.24 101
2020 Q3 3,028,623 $151,991,760 +$14,293,731 $50.19 81
2020 Q2 2,743,904 $137,598,601 -$1,103,510 $50.15 75
2020 Q1 2,763,745 $137,549,891 +$13,784,406 $49.77 76
2019 Q4 2,447,570 $122,619,849 +$17,542,592 $50.10 83
2019 Q3 1,963,073 $98,430,522 +$16,013,617 $50.14 63
2019 Q2 1,678,851 $84,178,683 -$730,544 $50.14 56
2019 Q1 1,749,554 $87,559,805 -$10,336,915 $50.04 58
2018 Q4 2,268,980 $113,309,464 +$49,557,607 $49.94 52
2018 Q3 705,043 $35,217,946 +$460,803 $49.95 39
2018 Q2 699,727 $34,964,428 +$8,219,900 $49.97 31
2018 Q1 546,025 $27,142,135 -$8,809,356 $49.70 24
2017 Q4 706,148 $35,178,000 +$5,230,664 $49.82 21
2017 Q3 534,634 $26,795,000 +$7,155,980 $50.11 14
2017 Q2 397,204 $19,857,000 -$3,024,128 $50.00 12
2017 Q1 457,650 $22,854,000 -$698,053 $49.90 13
2016 Q4 481,341 $23,962,000 -$395,480 $49.77 14
2016 Q3 489,480 $24,504,000 +$3,640,140 $50.06 10
2016 Q2 416,694 $20,918,000 -$5,484,022 $50.20 7
2016 Q1 526,799 $26,391,000 -$1,523,932 $50.09 11
2015 Q4 556,476 $27,829,000 +$20,117,656 $50.00 9
2015 Q3 148,701 $7,448,000 -$2,641,101 $50.09 3
2015 Q2 201,429 $10,031,000 -$9,302,340 $49.74 2
2015 Q1 388,160 $19,415,000 +$19,415,018 $50.01 2