ISHARES TR - IBONDS DEC2026 (IBDR)

Historical Holders from Q3 2016 to Q1 2025

Symbol
IBDR
CUSIP
46435GAA0
Type / Class
Equity / IBONDS DEC2026
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
97.3M
Holdings value
$2.34B
% of all portfolios
0.02%
Grand Portfolio weight change
+0%
Number of holders
384
Number of buys
254
Number of sells
-81
Average Value change %
+0%
Average buys %
+0.004%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISHARES TR - IBONDS DEC2026 (IBDR)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 10.2M $247M +$3.94M $24.21 84
2024 Q4 97.3M $2.34B +$188M $24.07 384
2024 Q3 86.8M $2.11B +$90M $24.30 356
2024 Q2 84.3M $2B +$171M $23.82 344
2024 Q1 76.9M $1.83B +$135M $23.85 331
2023 Q4 69.8M $1.67B +$233M $23.90 307
2023 Q3 58.5M $1.36B +$58.4M $23.34 250
2023 Q2 55.9M $1.31B +$141M $23.47 222
2023 Q1 50M $1.19B +$104M $23.73 223
2022 Q4 44.8M $1.05B +$109M $23.35 201
2022 Q3 39.7M $915M +$171M $23.10 169
2022 Q2 32.9M $784M -$47.8M $23.79 146
2022 Q1 33.9M $834M +$141M $24.65 123
2021 Q4 28.1M $732M +$104M $26.07 126
2021 Q3 23.9M $634M +$105M $26.50 112
2021 Q2 20M $531M +$69.1M $26.61 106
2021 Q1 17.4M $457M +$38.5M $26.36 103
2020 Q4 15.7M $427M +$60.6M $27.10 94
2020 Q3 13.4M $359M +$18.6M $26.82 82
2020 Q2 12.7M $339M -$2.85M $26.68 77
2020 Q1 12.9M $316M -$1.19M $24.55 75
2019 Q4 12.9M $330M +$69.4M $25.57 78
2019 Q3 11M $278M +$54.5M $25.47 62
2019 Q2 8.82M $221M +$75M $25.06 64
2019 Q1 5.83M $141M +$3.25M $24.24 62
2018 Q4 5.66M $130M -$818K $23.03 48
2018 Q3 5.35M $125M +$12.5M $23.28 41
2018 Q2 4.81M $112M +$35.1M $23.32 36
2018 Q1 3.3M $78.2M -$1.59M $23.67 32
2017 Q4 3.4M $83.4M +$21.5M $24.54 30
2017 Q3 2.46M $60.6M +$32.1M $24.64 23
2017 Q2 1.16M $28.4M +$8.17M $24.47 18
2017 Q1 851K $20.4M +$4.29M $24.01 16
2016 Q4 650K $15.5M +$4.33M $23.92 9
2016 Q3 446K $11.3M +$11.3M $25.31 2