ISHARES TR - USD GRN BOND ETF (BGRN)

Historical Holders from Q4 2018 to Q4 2025

Type / Class
Equity / USD GRN BOND ETF
Symbol
BGRN
Price per share
$48.13
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
6,334,445
Total reported value
$304,857,863
% of total 13F portfolios
0%
Share change
+77,157
Value change
+$3,724,305
Number of holders
118
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - USD GRN BOND ETF (BGRN) has 118 institutional shareholders filing 13F forms. They hold 6,334,445 shares. .

Institutional Holders of ISHARES TR - USD GRN BOND ETF (BGRN) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 29,116 $1,395,681 +$6,232 $47.94 3
2025 Q3 6,334,445 $304,857,863 +$3,724,305 $48.13 118
2025 Q2 6,282,598 $299,483,812 +$5,370,015 $47.67 115
2025 Q1 6,169,429 $292,170,349 +$9,503,931 $47.36 116
2024 Q4 5,981,961 $279,039,023 +$17,218,304 $46.62 114
2024 Q3 5,589,744 $270,375,007 +$12,368,786 $48.34 104
2024 Q2 5,336,272 $248,528,525 +$13,059,892 $46.54 108
2024 Q1 5,014,889 $235,150,143 +$20,071,742 $46.89 100
2023 Q4 4,390,364 $207,347,768 +$7,070,828 $47.23 92
2023 Q3 4,166,323 $188,021,973 +$16,616,967 $45.13 88
2023 Q2 3,873,122 $180,228,026 +$16,570,728 $46.54 90
2023 Q1 3,516,922 $165,650,449 +$19,127,769 $47.09 84
2022 Q4 3,089,378 $142,022,096 +$10,581,584 $45.97 86
2022 Q3 2,827,357 $130,608,700 -$11,283,324 $45.57 68
2022 Q2 3,076,326 $146,929,910 +$37,538,296 $47.76 73
2022 Q1 2,263,887 $114,528,849 -$5,845,979 $50.59 71
2021 Q4 2,439,916 $132,387,233 +$21,958,505 $54.26 73
2021 Q3 2,031,236 $111,447,169 +$13,167,342 $54.87 59
2021 Q2 1,802,423 $97,606,026 +$8,709,676 $54.74 58
2021 Q1 1,631,159 $88,539,145 +$28,141,421 $54.66 56
2020 Q4 1,094,598 $61,569,707 +$17,570,526 $56.25 46
2020 Q3 718,781 $39,972,013 +$10,287,911 $55.59 37
2020 Q2 533,859 $29,216,165 -$4,224,853 $54.73 28
2020 Q1 564,000 $29,933,609 +$14,699,887 $53.07 23
2019 Q4 255,277 $13,694,533 +$5,727,381 $53.64 16
2019 Q3 86,144 $4,793,000 -$4,308,018 $55.64 10
2019 Q2 165,933 $9,020,000 +$7,437,217 $54.37 8
2019 Q1 29,741 $1,567,000 -$3,740,000 $52.65 5
2018 Q4 100,000 $5,085,000 +$5,085,000 $50.85 1