ISHARES TR - ESG ADVNCD HY BD (HYXF)

Historical Holders from Q2 2016 to Q1 2025

Symbol
HYXF
CUSIP
46435G441
Type / Class
Equity / ESG ADVNCD HY BD
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
1.47M
Holdings value
$68M
% of all portfolios
0.001%
Grand Portfolio weight change
+0%
Number of holders
70
Number of buys
45
Number of sells
-12
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - ESG ADVNCD HY BD (HYXF)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 336K $15.6M +$909K $46.31 10
2024 Q4 1.47M $68M +$11.5M $46.20 70
2024 Q3 1.22M $57.6M +$1.84M $47.34 61
2024 Q2 1.19M $53.6M +$4.37M $45.17 57
2024 Q1 1.09M $49.7M +$730K $45.69 60
2023 Q4 1.07M $48.8M -$2.98M $45.47 55
2023 Q3 1.1M $47.3M +$10.8M $43.19 53
2023 Q2 844K $37.2M -$8.47M $44.08 50
2023 Q1 1.04M $46.1M -$769K $44.37 57
2022 Q4 1.12M $48.6M -$6.49M $43.22 58
2022 Q3 3.21K $135K +$89.4K $42.27 3
2022 Q2 1.59M $111K +$1.93K $0.04 56
2022 Q1 1.47M $119K +$25.3K $0.05 65
2021 Q4 947K $98.9K +$10.1K $0.05 49
2021 Q3 783K $41M +$4.65M $52.31 43
2021 Q2 713K $37.5M -$3.06M $52.55 41
2021 Q1 773K $40.2M +$9.11M $52.00 38
2020 Q4 568K $29.9M +$10.7M $52.65 30
2020 Q3 356K $18.1M +$3.82M $50.95 19
2020 Q2 285K $14.1M -$1.02M $49.51 20
2020 Q1 306K $14.7M +$3.46M $48.06 9
2019 Q4 230K $12M +$3.96M $52.27 10
2019 Q3 154K $7.99M +$2.35M $51.94 9
2019 Q2 109K $5.61M +$882K $51.52 6
2019 Q1 49 $2K +$2K $45.95 2
2018 Q4 148K $7.11M -$211K $48.00 4
2018 Q3 152K $7.73M -$492K $50.71 3
2018 Q2 162K $8.11M -$107K $50.02 3
2018 Q1 164K $8.24M -$462K $49.96 3
2017 Q4 174K $8.87M -$24.8K $51.06 4
2017 Q3 174K $9.06M -$284K $51.91 3
2017 Q2 180K $9.39M -$623K $52.25 2
2017 Q1 192K $9.83M +$74K $69.54 2
2016 Q4 190K $9.65M -$212K $50.77 1
2016 Q3 194K $10M -$255K $51.57 1
2016 Q2 199K $10.1M +$10.1M $50.48 1