ETF:LQD | ETF Holdings Page 19 | iShares iBoxx $ Investment Grade Corporate Bond ETF

Companies included in LQD Page 19

This is LQD'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 1,801–1,900 of 3,094.

TickerIssuerShares ownedUnitReported weight
DELL INT LLC / EMC CORPDELL INT LLC / EMC CORP7,470,000PA0.024275%
SHELL FINANCE US INCSHELL FINANCE US INC6,846,000PA0.02427%
HCA INCHCA INC7,953,000PA0.024269%
ENBRIDGE INCENBRIDGE INC7,524,000PA0.024249%
PHILIP MORRIS INTL INCPHILIP MORRIS INTL INC7,438,000PA0.024248%
HONDA MOTOR CO LTDHONDA MOTOR CO LTD7,502,000PA0.024235%
BOSTON PROPERTIES LPBOSTON PROPERTIES LP7,605,000PA0.024228%
SHELL FINANCE US INCSHELL FINANCE US INC7,428,000PA0.02422%
FLORIDA POWER & LIGHT COFLORIDA POWER & LIGHT CO9,575,000PA0.024216%
GPJAGEORGIA POWER CO7,417,000PA0.024211%
VZVERIZON COMMUNICATIONS12,958,000PA0.024204%
UNPUNION PACIFIC CORP10,742,000PA0.024197%
KINDER MORGAN INCKINDER MORGAN INC10,786,000PA0.024193%
FLORIDA POWER & LIGHT COFLORIDA POWER & LIGHT CO7,942,000PA0.02416%
HDHOME DEPOT INC8,663,000PA0.024157%
FIFTH THIRD BANCORPFIFTH THIRD BANCORP7,570,000PA0.024156%
JNJJOHNSON & JOHNSON7,452,000PA0.024137%
WESTPAC BANKING CORPWESTPAC BANKING CORP7,567,000PA0.024081%
METLIFE INCMETLIFE INC7,311,000PA0.024074%
L3HARRIS TECH INCL3HARRIS TECH INC7,371,000PA0.024073%
AMRIZE FINANCE US LLCAMRIZE FINANCE US LLC7,369,000PA0.024071%
AAPLAPPLE INC7,459,000PA0.024068%
CATERPILLAR FINL SERVICECATERPILLAR FINL SERVICE7,467,000PA0.024052%
ENTERPRISE PRODUCTS OPERENTERPRISE PRODUCTS OPER8,597,000PA0.024044%
DUKE ENERGY CAROLINASDUKE ENERGY CAROLINAS7,418,000PA0.024032%
GMGENERAL MOTORS CO7,331,000PA0.024032%
SOUTHERN COSOUTHERN CO7,423,000PA0.02403%
UNHUNITEDHEALTH GROUP INC7,364,000PA0.02403%
SUMITOMO MITSUI FINL GRPSUMITOMO MITSUI FINL GRP7,603,000PA0.024024%
DUKE ENERGY CORPDUKE ENERGY CORP11,024,000PA0.024021%
PSXPHILLIPS 66 CO7,394,000PA0.024021%
EXCEXELON CORP7,337,000PA0.024016%
TOYOTA MOTOR CREDIT CORPTOYOTA MOTOR CREDIT CORP7,344,000PA0.024009%
MPLX LPMPLX LP7,564,000PA0.024009%
KRKROGER CO9,891,000PA0.024003%
MCDONALD'S CORPMCDONALD'S CORP8,222,000PA0.02399%
HALHALLIBURTON CO6,731,000PA0.023983%
PGPROCTER & GAMBLE CO/THE7,602,000PA0.02397%
TOYOTA MOTOR CREDIT CORPTOYOTA MOTOR CREDIT CORP7,500,000PA0.02397%
FANGDIAMONDBACK ENERGY INC7,389,000PA0.023961%
DDDUPONT DE NEMOURS INC7,557,000PA0.023957%
FORD MOTOR CREDIT CO LLCFORD MOTOR CREDIT CO LLC7,552,000PA0.023949%
PFEPFIZER INC12,009,000PA0.023949%
MARMARRIOTT INTERNATIONAL8,183,000PA0.023943%
LLYELI LILLY & CO7,535,000PA0.023919%
CSCOCISCO SYSTEMS INC7,372,000PA0.023919%
VICI PROPERTIES LPVICI PROPERTIES LP7,438,000PA0.0239%
WMTWALMART INC8,567,000PA0.023895%
WYWEYERHAEUSER CO7,683,000PA0.023888%
BHP BILLITON FIN USA LTDBHP BILLITON FIN USA LTD7,581,000PA0.023871%
LLYELI LILLY & CO13,037,000PA0.023867%
LOWE'S COS INCLOWE'S COS INC9,627,000PA0.023852%
MARSH & MCLENNAN COS INCMARSH & MCLENNAN COS INC7,552,000PA0.023836%
COMCAST CORPCOMCAST CORP8,437,000PA0.023835%
CATCATERPILLAR INC10,483,000PA0.023814%
TXNTEXAS INSTRUMENTS INC8,289,000PA0.023802%
BHP BILLITON FIN USA LTDBHP BILLITON FIN USA LTD7,391,000PA0.023799%
AAPLAPPLE INC12,749,000PA0.023799%
PFEPFIZER INC7,670,000PA0.023797%
PACIFIC GAS & ELECTRICPACIFIC GAS & ELECTRIC7,157,000PA0.023795%
VVISA INC13,813,000PA0.023782%
FISVFISERV INC7,604,000PA0.02378%
T-MOBILE USA INCT-MOBILE USA INC7,963,000PA0.02378%
VIRGINIA ELEC & POWER COVIRGINIA ELEC & POWER CO7,625,000PA0.023779%
DEDEERE & COMPANY8,637,000PA0.023733%
PACIFIC GAS & ELECTRICPACIFIC GAS & ELECTRIC7,047,000PA0.023728%
UNHUNITEDHEALTH GROUP INC10,085,000PA0.023723%
LMTLOCKHEED MARTIN CORP7,343,000PA0.023719%
WELLS FARGO BANK NAWELLS FARGO BANK NA6,708,000PA0.023688%
LOWE'S COS INCLOWE'S COS INC7,821,000PA0.023684%
AMTAMERICAN TOWER CORP7,491,000PA0.023673%
PEPPEPSICO INC7,894,000PA0.023663%
MRKMERCK & CO INC12,583,000PA0.02363%
PUBLIC SERVICE COLORADOPUBLIC SERVICE COLORADO8,036,000PA0.023629%
SOUTHERN CAL EDISONSOUTHERN CAL EDISON7,225,000PA0.023626%
WMBWILLIAMS COMPANIES INC7,793,000PA0.0236%
BOSTON PROPERTIES LPBOSTON PROPERTIES LP7,742,000PA0.023579%
GPJAGEORGIA POWER CO7,299,000PA0.02357%
BERKSHIRE HATHAWAY ENERGBERKSHIRE HATHAWAY ENERG8,920,000PA0.023567%
APHAMPHENOL CORP7,502,000PA0.023559%
MRKMERCK & CO INC7,400,000PA0.023554%
KINDER MORGAN INCKINDER MORGAN INC7,406,000PA0.023552%
GILDGILEAD SCIENCES INC7,542,000PA0.023549%
T-MOBILE USA INCT-MOBILE USA INC7,698,000PA0.023546%
RTXRTX CORP8,686,000PA0.023544%
MIZUHO FINANCIAL GROUPMIZUHO FINANCIAL GROUP7,043,000PA0.023535%
FORD MOTOR CREDIT CO LLCFORD MOTOR CREDIT CO LLC6,973,000PA0.023523%
NOVARTIS CAPITAL CORPNOVARTIS CAPITAL CORP7,472,000PA0.023523%
AVGOBROADCOM INC7,497,000PA0.023498%
JNJJOHNSON & JOHNSON8,067,000PA0.023491%
PYPLPAYPAL HOLDINGS INC7,385,000PA0.023486%
CANADIAN NATL RESOURCESCANADIAN NATL RESOURCES7,270,000PA0.023479%
HP ENTERPRISE COHP ENTERPRISE CO8,162,000PA0.02347%
DTE ENERGY CODTE ENERGY CO6,984,000PA0.023469%
BIIBBIOGEN INC8,030,000PA0.023468%
CITIZENS FINANCIAL GROUPCITIZENS FINANCIAL GROUP7,128,000PA0.023468%
AVGOBROADCOM INC7,584,000PA0.023464%
AVGOBROADCOM INC7,443,000PA0.023455%
OCCIDENTAL PETROLEUM COROCCIDENTAL PETROLEUM COR6,580,000PA0.023442%
CHEVRON USA INCCHEVRON USA INC7,293,000PA0.023401%

SEC N-PORT snapshot as of .

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