ISHARES TR - CORE TOTAL USD (IUSB)

Historical Portfolio Holders from Q2 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / CORE TOTAL USD
Shares, excl. options Q1 2024
588 M
Holdings value Q1 2024
$26.8 B
Value change Q1 2024
+$4.06 B
Grand Portfolio weight change Q1 2024
+0.008%
Number of holders
600
Number of buys Q1 2024
428
Number of sells Q1 2024
-166
Average buys Q1 2024 %
+0.042%
Average sells Q1 2024 %
-0.005%
CUSIP
46434V613
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 588 M $26.8 B +$4.06 B $45.59 600
2023 Q4 492 M $22.7 B +$3.34 B $46.07 602
2023 Q3 422 M $18.5 B -$253 M $43.72 525
2023 Q2 489 M $22.2 B +$904 M $45.47 511
2023 Q1 467 M $21.6 B +$2.32 B $46.15 496
2022 Q4 411 M $18.5 B +$2.46 B $44.93 502
2022 Q3 341 M $15.2 B +$311 M $44.50 453
2022 Q2 351 M $16.4 B -$176 M $46.82 450
2022 Q1 345 M $17.1 B +$2.82 B $49.63 452
2021 Q4 295 M $15.6 B +$1.2 B $52.93 451
2021 Q3 261 M $13.9 B +$847 M $53.24 395
2021 Q2 253 M $13.5 B +$2.08 B $53.49 370
2021 Q1 215 M $11.3 B +$6.17 B $52.75 342
2020 Q4 88.4 M $4.83 B +$410 M $54.58 238
2020 Q3 79.9 M $4.35 B +$239 M $54.38 196
2020 Q2 75.6 M $4.11 B +$197 M $54.33 186
2020 Q1 71.5 M $3.76 B +$169 M $52.50 178
2019 Q4 68.7 M $3.58 B +$238 M $52.11 164
2019 Q3 62.5 M $3.27 B +$27.5 M $52.41 125
2019 Q2 62.1 M $3.21 B +$307 M $51.68 121
2019 Q1 56.1 M $2.84 B +$114 M $50.60 114
2018 Q4 53.9 M $2.66 B +$684 M $49.24 104
2018 Q3 14.3 M $701 M +$62.9 M $49.14 86
2018 Q2 38.6 M $1.9 B +$142 M $49.35 89
2018 Q1 35.8 M $1.79 B +$103 M $49.94 76
2017 Q4 33.7 M $1.72 B +$708 M $50.87 68
2017 Q3 19.2 M $979 M +$116 M $51.08 54
2017 Q2 16.9 M $862 M +$105 M $50.95 50
2017 Q1 4.45 M $225 M +$122 M $50.52 42
2016 Q4 14.2 M $715 M +$210 M $50.27 39
2016 Q3 10 M $522 M +$287 M $52.08 29
2016 Q2 4.51 M $470 M +$10.5 M $104.02 24
2016 Q1 4.41 M $450 M -$227 M $101.85 20
2015 Q4 6.64 M $658 M +$246 M $99.18 15
2015 Q3 4.13 M $414 M +$31.3 M $100.31 11
2015 Q2 3.82 M $383 M +$28.9 M $100.50 16
2015 Q1 3.53 M $362 M +$343 M $102.76 11
2014 Q4 197 K $19.8 M -$1.92 M $100.51 5
2014 Q3 214 K $21.4 M -$1.89 M $100.17 3
2014 Q2 233 K $23.4 M +$23.4 M $100.54 4