ETF:ILTB | ETF Holdings Page 37 | iShares Core 10+ Year USD Bond ETF

Companies included in ILTB Page 37

This is ILTB's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 3,601–3,700 of 3,849.

TickerIssuerShares ownedUnitReported weight
DUKE ENERGY PROGRESS LLCDUKE ENERGY PROGRESS LLC20,000PA0.0035%
FORD MOTOR COMPANYFORD MOTOR COMPANY20,000PA0.003442%
ENBRIDGE INCENBRIDGE INC25,000PA0.003425%
AMEREN ILLINOIS COAMEREN ILLINOIS CO25,000PA0.003425%
MOODY'S CORPORATIONMOODY'S CORPORATION35,000PA0.003414%
TAMPA ELECTRIC COTAMPA ELECTRIC CO25,000PA0.003407%
VIRGINIA ELEC & POWER COVIRGINIA ELEC & POWER CO25,000PA0.003394%
VENTAS REALTY LPVENTAS REALTY LP25,000PA0.003394%
ARIZONA PUBLIC SERVICEARIZONA PUBLIC SERVICE30,000PA0.003391%
PACIFIC GAS & ELECTRICPACIFIC GAS & ELECTRIC25,000PA0.003379%
PACIFICORPPACIFICORP20,000PA0.003375%
CSXCSX CORP35,000PA0.003358%
PEPPEPSICO INC20,000PA0.003352%
DTE ELECTRIC CODTE ELECTRIC CO25,000PA0.003347%
MSFTMICROSOFT CORP20,000PA0.003338%
GISGENERAL MILLS INC25,000PA0.003338%
NIAGARA MOHAWK POWERNIAGARA MOHAWK POWER25,000PA0.003325%
DDOMINION ENERGY INC25,000PA0.003324%
CON EDISON CO OF NY INCCON EDISON CO OF NY INC20,000PA0.003322%
WLKWESTLAKE CORP30,000PA0.003322%
LINCOLN NATIONAL CORPLINCOLN NATIONAL CORP27,000PA0.003318%
DUKE ENERGY FLORIDA LLCDUKE ENERGY FLORIDA LLC20,000PA0.003311%
FDXFEDEX CORP25,000PA0.003309%
UNIV SOUTHERN CALIFORNIAUNIV SOUTHERN CALIFORNIA35,000PA0.003293%
TAMPA ELECTRIC COTAMPA ELECTRIC CO29,000PA0.003283%
Regional Transportation District Sales Tax RevenueRegional Transportation District Sales Tax Revenue20,000PA0.00328%
NSTAR ELECTRIC CONSTAR ELECTRIC CO20,000PA0.003249%
FDXFEDEX CORP25,000PA0.003246%
EVERGY METROEVERGY METRO25,000PA0.003245%
SPGIS&P GLOBAL INC40,000PA0.00324%
AEP TRANSMISSION CO LLCAEP TRANSMISSION CO LLC30,000PA0.00324%
KMBKIMBERLY-CLARK CORP30,000PA0.003238%
OKLAHOMA G&E COOKLAHOMA G&E CO20,000PA0.003234%
TUCSON ELECTRIC POWER COTUCSON ELECTRIC POWER CO20,000PA0.003227%
TUCSON ELECTRIC POWER COTUCSON ELECTRIC POWER CO30,000PA0.003223%
PARAMOUNT GLOBALPARAMOUNT GLOBAL25,000PA0.003221%
PEACEHEALTH OBLIGATED GRPEACEHEALTH OBLIGATED GR30,000PA0.003219%
ALCON FINANCE CORPALCON FINANCE CORP20,000PA0.003211%
PARAMOUNT GLOBALPARAMOUNT GLOBAL30,000PA0.003209%
SWXSOUTHWEST GAS CORP30,000PA0.003207%
INOVA HEALTH SYSTEMS FOUINOVA HEALTH SYSTEMS FOU25,000PA0.003207%
PROLOGIS LPPROLOGIS LP30,000PA0.003199%
KRKROGER CO20,000PA0.003199%
PPL ELECTRIC UTILITIESPPL ELECTRIC UTILITIES25,000PA0.003195%
UNIVERSITY OF CHICAGOUNIVERSITY OF CHICAGO25,000PA0.003195%
CON EDISON CO OF NY INCCON EDISON CO OF NY INC30,000PA0.003191%
TXNTEXAS INSTRUMENTS INC25,000PA0.00319%
SUTTER HEALTHSUTTER HEALTH25,000PA0.003185%
PPL ELECTRIC UTILITIESPPL ELECTRIC UTILITIES30,000PA0.003179%
BANNER HEALTHBANNER HEALTH30,000PA0.003173%
BRISTOL-MYERS SQUIBB COBRISTOL-MYERS SQUIBB CO20,000PA0.003163%
CHILDREN'S HOSPITAL/DCCHILDREN'S HOSPITAL/DC30,000PA0.003161%
BLUE OWL FINANCE LLCBLUE OWL FINANCE LLC30,000PA0.003146%
AT&T INCAT&T INC20,000PA0.003135%
UBSUBS GROUP AG20,000PA0.003135%
ORANGE SAORANGE SA20,000PA0.00313%
HOAG MEMORIAL HOSPITALHOAG MEMORIAL HOSPITAL25,000PA0.003113%
PUGET SOUND ENERGY INCPUGET SOUND ENERGY INC30,000PA0.003104%
DUKE ENERGY PROGRESS LLCDUKE ENERGY PROGRESS LLC25,000PA0.003102%
DEUTSCHE TELEKOM INT FINDEUTSCHE TELEKOM INT FIN20,000PA0.0031%
COMMONSPIRIT HEALTHCOMMONSPIRIT HEALTH20,000PA0.003099%
INDIANA UNIV HEALTH INCINDIANA UNIV HEALTH INC30,000PA0.003077%
STANDARD CHARTERED PLCSTANDARD CHARTERED PLC20,000PA0.003076%
TRINITY HEALTH CORPTRINITY HEALTH CORP25,000PA0.003039%
BANK OF AMERICA CORPBANK OF AMERICA CORP20,000PA0.003039%
BENFRANKLIN RESOURCES INC30,000PA0.003039%
VMIVALMONT INDUSTRIES INC20,000PA0.003033%
INTERSTATE POWER & LIGHTINTERSTATE POWER & LIGHT20,000PA0.003032%
GDGENERAL DYNAMICS CORP25,000PA0.003032%
AEP TRANSMISSION CO LLCAEP TRANSMISSION CO LLC25,000PA0.003031%
ADVENTHEALTH OBL GRPADVENTHEALTH OBL GRP30,000PA0.00303%
PUBLIC SERVICE ELECTRICPUBLIC SERVICE ELECTRIC35,000PA0.003024%
UMASS MEM HEALTH CAREUMASS MEM HEALTH CARE20,000PA0.003023%
COMMONWEALTH EDISON COCOMMONWEALTH EDISON CO20,000PA0.003019%
APPAPPLOVIN CORP20,000PA0.003018%
FDXFEDEX CORP25,000PA0.003%
SHARP HEALTHCARESHARP HEALTHCARE30,000PA0.002999%
MACY'S RETAIL HLDGS LLCMACY'S RETAIL HLDGS LLC20,000PA0.002987%
BALTIMORE GAS & ELECTRICBALTIMORE GAS & ELECTRIC25,000PA0.002978%
UPSUNITED PARCEL SERVICE25,000PA0.00297%
UNUM GROUPUNUM GROUP25,000PA0.002938%
TAMPA ELECTRIC COTAMPA ELECTRIC CO20,000PA0.002913%
TRANE TECH FIN LTDTRANE TECH FIN LTD20,000PA0.002912%
CHILDREN'S HEATH SYS TXCHILDREN'S HEATH SYS TX30,000PA0.002904%
OGLETHORPE POWER CORPOGLETHORPE POWER CORP25,000PA0.002901%
CANADIAN NATL RAILWAYCANADIAN NATL RAILWAY30,000PA0.002872%
KINDER MORGAN ENER PARTKINDER MORGAN ENER PART15,000PA0.002862%
MACY'S RETAIL HLDGS LLCMACY'S RETAIL HLDGS LLC25,000PA0.002844%
PIEDMONT NATURAL GAS COPIEDMONT NATURAL GAS CO20,000PA0.002841%
BERKLEY (WR) CORPORATIONBERKLEY (WR) CORPORATION25,000PA0.002833%
NATIONWIDE CHILDREN HOSPNATIONWIDE CHILDREN HOSP20,000PA0.002823%
LOWE'S COS INCLOWE'S COS INC25,000PA0.002796%
PEPPEPSICO INC20,000PA0.002784%
NSCNORFOLK SOUTHERN CORP20,000PA0.00277%
CI FINANCIAL CORPCI FINANCIAL CORP25,000PA0.002764%
REGIONS FINANCIAL CORPREGIONS FINANCIAL CORP15,000PA0.002761%
LEALEAR CORP25,000PA0.002747%
AMEREN ILLINOIS COAMEREN ILLINOIS CO25,000PA0.002747%
EQIXEQUINIX INC25,000PA0.002723%
OMCOMNICOM GROUP INC19,000PA0.002719%

SEC N-PORT snapshot as of .

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