ISHARES TR - USD GRN BOND ETF (BGRN)

Historical Holders from Q4 2018 to Q1 2025

Symbol
BGRN
CUSIP
46435U440
Type / Class
Equity / USD GRN BOND ETF
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
5.95M
Holdings value
$278M
% of all portfolios
0.002%
Grand Portfolio weight change
+0%
Number of holders
113
Number of buys
67
Number of sells
-31
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 - USD GRN BOND ETF (BGRN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 173K $8.19M +$307K $47.36 19
2024 Q4 5.95M $278M +$16.5M $46.62 113
2024 Q3 5.59M $270M +$12.4M $48.34 104
2024 Q2 5.34M $249M +$13.1M $46.54 108
2024 Q1 5.01M $235M +$20.1M $46.89 100
2023 Q4 4.39M $207M +$7.07M $47.23 92
2023 Q3 4.17M $188M +$16.6M $45.13 88
2023 Q2 3.87M $180M +$16.6M $46.54 90
2023 Q1 3.52M $166M +$19.1M $47.09 84
2022 Q4 3.09M $142M +$10.6M $45.97 86
2022 Q3 2.83M $131M -$11.3M $45.57 68
2022 Q2 3.08M $147M +$37.5M $47.76 73
2022 Q1 2.26M $115M -$5.85M $50.59 71
2021 Q4 2.44M $132M +$22M $54.26 73
2021 Q3 2.03M $111M +$13.2M $54.87 59
2021 Q2 1.8M $97.6M +$8.71M $54.74 58
2021 Q1 1.63M $88.5M +$28.1M $54.66 56
2020 Q4 1.09M $61.6M +$17.6M $56.25 46
2020 Q3 719K $40M +$10.3M $55.59 37
2020 Q2 534K $29.2M -$4.22M $54.73 28
2020 Q1 564K $29.9M +$14.7M $53.07 23
2019 Q4 255K $13.7M +$5.73M $53.64 16
2019 Q3 86.1K $4.79M -$4.31M $55.64 10
2019 Q2 166K $9.02M +$7.44M $54.37 8
2019 Q1 29.7K $1.57M -$3.74M $52.65 5
2018 Q4 100K $5.09M +$5.09M $50.85 1