ISHARES TR - CORE INTL AGGR (IAGG)

Historical Portfolio Holders from Q4 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / CORE INTL AGGR
Shares, excl. options Q1 2024
80.5 M
Holdings value Q1 2024
$4.02 B
Value change Q1 2024
+$480 M
Grand Portfolio weight change Q1 2024
+0.001%
Number of holders
328
Number of buys Q1 2024
182
Number of sells Q1 2024
-116
Average buys Q1 2024 %
+0.004%
Average sells Q1 2024 %
-0.003%
CUSIP
46435G672
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 80.5 M $4.02 B +$480 M $49.95 328
2023 Q4 73.1 M $3.64 B +$799 M $49.80 314
2023 Q3 57.2 M $2.79 B +$70.5 M $48.78 290
2023 Q2 55 M $2.71 B +$44.9 M $49.29 302
2023 Q1 54.3 M $2.66 B +$75.9 M $48.95 292
2022 Q4 52.8 M $2.51 B +$380 M $47.55 307
2022 Q3 43.8 M $2.12 B +$46.1 M $48.32 269
2022 Q2 42.8 M $2.13 B +$7.56 M $49.81 281
2022 Q1 29.2 M $1.53 B +$56.3 M $52.13 274
2021 Q4 28.1 M $1.53 B -$69.2 M $54.53 275
2021 Q3 40.4 M $2.22 B +$144 M $55.02 250
2021 Q2 38.6 M $2.13 B +$161 M $55.10 247
2021 Q1 35.7 M $1.96 B +$61.3 M $54.86 242
2020 Q4 22.3 M $1.25 B +$6.05 M $56.21 226
2020 Q3 30.2 M $1.68 B +$116 M $55.66 198
2020 Q2 28.5 M $1.59 B +$101 M $55.68 191
2020 Q1 26.2 M $1.43 B -$94 M $54.69 203
2019 Q4 28.7 M $1.57 B +$498 M $54.79 203
2019 Q3 18 M $1.01 B +$59.6 M $55.79 156
2019 Q2 17 M $924 M +$174 M $54.47 141
2019 Q1 13.8 M $736 M +$84.7 M $53.48 121
2018 Q4 12 M $628 M +$199 M $52.21 103
2018 Q3 7.97 M $416 M +$38.3 M $52.27 88
2018 Q2 6.96 M $367 M +$18.8 M $52.69 69
2018 Q1 6.89 M $363 M +$3.79 M $52.67 71
2017 Q4 6.87 M $358 M +$58.9 M $52.05 63
2017 Q3 5.49 M $284 M +$72.1 M $51.70 41
2017 Q2 4.09 M $212 M +$21.2 M $51.80 32
2017 Q1 675 K $35 M +$9.11 M $51.80 28
2016 Q4 4 M $208 M -$87.5 M $51.89 19
2016 Q3 5.6 M $300 M +$133 M $53.52 21
2016 Q2 3.12 M $166 M -$10.9 M $53.02 14
2016 Q1 3.33 M $172 M +$118 M $51.73 9
2015 Q4 1.04 M $52 M +$52 M $50.07 4