ISHARES TR - ESG ADVNCD HY BD (HYXF)

Historical Holders from Q2 2016 to Q4 2025

Type / Class
Equity / ESG ADVNCD HY BD
Symbol
HYXF
Price per share
$47.26
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
1,339,080
Total reported value
$63,574,002
% of total 13F portfolios
0%
Share change
+139,399
Value change
+$6,631,011
Number of holders
75
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - ESG ADVNCD HY BD (HYXF) has 75 institutional shareholders filing 13F forms. They hold 1,339,080 shares. .

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 1,299 $61,387 $47.26 1
2025 Q3 1,339,080 $63,574,002 +$6,631,011 $47.48 75
2025 Q2 1,192,566 $56,611,334 -$4,569,568 $47.50 69
2025 Q1 1,353,379 $62,685,540 -$5,675,553 $46.31 68
2024 Q4 1,477,015 $68,248,423 +$11,774,228 $46.20 72
2024 Q3 1,216,508 $57,598,288 +$1,841,430 $47.34 61
2024 Q2 1,186,649 $53,601,738 +$4,369,309 $45.17 57
2024 Q1 1,089,233 $49,726,593 +$730,247 $45.69 60
2023 Q4 1,073,716 $48,759,967 -$2,975,785 $45.47 55
2023 Q3 1,095,108 $47,289,892 +$10,845,115 $43.19 53
2023 Q2 843,798 $37,199,107 -$8,467,545 $44.08 50
2023 Q1 1,039,218 $46,127,290 -$769,074 $44.37 57
2022 Q4 1,123,658 $48,578,471 -$6,493,569 $43.22 58
2022 Q3 3,210 $135,122 +$89,381 $42.27 3
2022 Q2 1,594,223 $111,478 +$1,927 $0.04 56
2022 Q1 1,474,262 $118,525 +$25,321 $0.05 65
2021 Q4 947,269 $98,852 +$10,144 $0.05 49
2021 Q3 783,465 $40,983,613 +$4,647,615 $52.31 43
2021 Q2 713,375 $37,491,623 -$3,064,946 $52.55 41
2021 Q1 772,701 $40,181,531 +$9,109,933 $52.00 38
2020 Q4 567,616 $29,886,633 +$10,696,208 $52.65 30
2020 Q3 355,511 $18,118,546 +$3,818,692 $50.95 19
2020 Q2 285,343 $14,127,471 -$1,015,580 $49.51 20
2020 Q1 305,979 $14,691,000 +$3,456,236 $48.06 9
2019 Q4 229,706 $12,006,000 +$3,964,593 $52.27 10
2019 Q3 153,856 $7,991,000 +$2,353,263 $51.94 9
2019 Q2 108,843 $5,609,000 +$882,196 $51.52 6
2019 Q1 49 $2,000 +$2,000 $45.95 2
2018 Q4 148,025 $7,108,000 -$210,977 $48.00 4
2018 Q3 152,412 $7,731,000 -$491,921 $50.71 3
2018 Q2 162,109 $8,109,000 -$107,000 $50.02 3
2018 Q1 164,258 $8,236,000 -$461,778 $49.96 3
2017 Q4 173,707 $8,869,000 -$24,841 $51.06 4
2017 Q3 174,202 $9,064,000 -$284,010 $51.91 3
2017 Q2 179,669 $9,387,000 -$622,568 $52.25 2
2017 Q1 191,511 $9,829,000 +$74,008 $69.54 2
2016 Q4 190,069 $9,650,000 -$211,918 $50.77 1
2016 Q3 194,243 $10,017,000 -$254,598 $51.57 1
2016 Q2 199,180 $10,055,000 +$10,055,005 $50.48 1