ISHARES U S ETF TR - INT RT HD LONG (IGBH)

Historical Portfolio Holders from Q3 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / INT RT HD LONG
Shares, excl. options Q1 2024
1.45 M
Holdings value Q1 2024
$35.6 M
Value change Q1 2024
+$15.6 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
31
Number of buys Q1 2024
21
Number of sells Q1 2024
-10
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
0%
CUSIP
46431W812
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 1.45 M $35.6 M +$15.6 M $24.60 31
2023 Q4 824 K $19.9 M +$2.97 M $24.17 29
2023 Q3 1.37 M $32.9 M +$12.7 M $23.94 22
2023 Q2 843 K $20 M -$36.3 M $23.76 29
2023 Q1 2.37 M $55.4 M -$28.1 M $23.37 32
2022 Q4 3.68 M $85.4 M +$26.8 M $23.22 38
2022 Q3 2.52 M $56.5 M -$10.3 M $22.44 37
2022 Q2 2.98 M $68.7 M -$117 M $23.07 36
2022 Q1 7.96 M $193 M -$522 M $24.11 45
2021 Q4 29.8 M $739 M +$12.6 M $24.83 57
2021 Q3 30.3 M $763 M +$45.6 M $25.14 49
2021 Q2 28.5 M $723 M +$45.6 M $25.36 50
2021 Q1 26.7 M $683 M +$54.1 M $25.54 35
2020 Q4 24.6 M $614 M +$583 M $24.95 32
2020 Q3 1.21 M $28.1 M -$13.4 M $23.22 14
2020 Q2 1.79 M $40.2 M +$1.81 M $22.46 18
2020 Q1 1.68 M $34.9 M -$8.3 M $20.72 17
2019 Q4 2.06 M $51.9 M +$2.75 M $25.33 16
2019 Q3 1.94 M $46.9 M +$4.17 M $24.11 18
2019 Q2 1.77 M $43.7 M +$1.97 M $24.67 18
2019 Q1 1.68 M $41.5 M +$12.4 M $24.65 19
2018 Q4 1.18 M $28.3 M -$5.03 M $23.93 20
2018 Q3 1.35 M $35.6 M +$7.21 M $26.36 17
2018 Q2 1.08 M $27.6 M +$4.28 M $25.62 17
2018 Q1 911 K $23.9 M +$6.88 M $26.24 17
2017 Q4 648 K $17.1 M +$6.42 M $26.41 12
2017 Q3 405 K $10.4 M +$593 K $25.74 11
2017 Q2 382 K $9.79 M +$251 K $25.60 9
2017 Q1 372 K $9.34 M +$1.59 M $25.08 6
2016 Q4 309 K $7.7 M -$285 K $24.89 6
2016 Q3 321 K $7.69 M +$717 K $23.92 4
2016 Q2 292 K $6.9 M +$141 K $23.68 1
2016 Q1 286 K $6.67 M -$1.39 M $23.36 1
2015 Q4 345 K $8.16 M +$1.07 M $23.72 2
2015 Q3 299 K $7.13 M +$7.13 M $23.81 2