ISHARES TR - 0-3 MNTH TREASRY (SGOV)

Historical Holders from Q2 2020 to Q4 2025

Type / Class
Equity / 0-3 MNTH TREASRY
Symbol
SGOV
Price per share
$100.38
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
166,626,216
Total reported value
$16,780,374,476
% of total 13F portfolios
0.18%
Share change
+9,510,242
Value change
+$957,293,702
Number of holders
984
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ISHARES TR - 0-3 MNTH TREASRY (SGOV) has 984 institutional shareholders filing 13F forms. They hold 166,626,216 shares. .

Institutional Holders of ISHARES TR - 0-3 MNTH TREASRY (SGOV) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 6,721,681 $674,828,946 -$3,907,138 $100.38 55
2025 Q3 166,626,216 $16,780,374,476 +$957,293,702 $100.70 984
2025 Q2 157,630,575 $15,874,566,894 +$1,530,311,099 $100.69 914
2025 Q1 142,803,289 $14,225,280,662 +$3,926,880,150 $100.67 852
2024 Q4 103,279,518 $10,362,381,110 +$1,243,258,149 $100.32 757
2024 Q3 86,498,999 $8,716,415,984 +$479,986,087 $100.72 679
2024 Q2 81,416,644 $8,194,902,876 +$793,864,630 $100.71 634
2024 Q1 73,739,240 $7,418,816,672 +$157,775,942 $100.71 579
2023 Q4 4,884,839 $484,947,562 +$202,656,166 $100.27 9
2023 Q3 78,455,849 $7,890,529,039 +$2,496,426,272 $100.67 498
2023 Q2 50,688,929 $5,097,310,174 -$504,393,787 $100.63 396
2023 Q1 58,814,662 $5,911,455,329 +$771,910,407 $100.58 362
2022 Q4 49,663,034 $4,969,302,819 +$1,125,099,830 $100.14 269
2022 Q3 37,009,148 $3,710,997,537 +$500,630,992 $100.27 195
2022 Q2 31,652,926 $3,169,005,626 +$1,316,795,291 $100.12 146
2022 Q1 17,902,351 $1,791,126,502 +$1,488,094,513 $100.05 81
2021 Q4 2,750,995 $275,169,000 -$398,445,247 $100.02 45
2021 Q3 6,791,909 $679,361,000 -$20,618,079 $100.02 36
2021 Q2 6,998,039 $699,980,000 +$13,678,377 $100.03 29
2021 Q1 6,861,284 $686,231,000 -$147,957,999 $100.01 25
2020 Q4 8,344,329 $834,557,000 -$40,623,707 $100.01 19
2020 Q3 8,743,321 $874,506,000 +$112,307,600 $100.02 11
2020 Q2 7,611,258 $761,316,000 +$761,316,132 $100.02 4