ETF:LQD | ETF Holdings Page 3 | iShares iBoxx $ Investment Grade Corporate Bond ETF

Companies included in LQD Page 3

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 201–300 of 3,094.

TickerIssuerShares ownedUnitReported weight
HSBC HOLDINGS PLCHSBC HOLDINGS PLC20,214,000PA0.065097%
SUMITOMO MITSUI FINL GRPSUMITOMO MITSUI FINL GRP19,298,000PA0.064779%
AERCAP IRELAND CAP/GLOBAAERCAP IRELAND CAP/GLOBA22,120,000PA0.064582%
JPMORGAN CHASE & COJPMORGAN CHASE & CO19,799,000PA0.064436%
MORGAN STANLEYMORGAN STANLEY19,888,000PA0.06434%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC20,300,000PA0.064068%
GOLDMAN SACHS GROUP INCGOLDMAN SACHS GROUP INC22,288,000PA0.063934%
MORGAN STANLEYMORGAN STANLEY19,567,000PA0.063875%
GOLDMAN SACHS GROUP INCGOLDMAN SACHS GROUP INC19,561,000PA0.063863%
CVSCVS HEALTH CORP22,344,000PA0.063757%
MORGAN STANLEYMORGAN STANLEY19,898,000PA0.063358%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC18,331,000PA0.063228%
IBM CORPIBM CORP24,984,000PA0.06322%
CITIGROUP INCCITIGROUP INC19,405,000PA0.063204%
VZVERIZON COMMUNICATIONS20,023,000PA0.063154%
MORGAN STANLEYMORGAN STANLEY22,314,000PA0.063089%
JPMORGAN CHASE & COJPMORGAN CHASE & CO19,942,000PA0.062958%
HCA INCHCA INC20,764,000PA0.062834%
BOEING CO/THEBOEING CO/THE17,547,000PA0.062787%
JPMORGAN CHASE & COJPMORGAN CHASE & CO19,094,000PA0.062715%
AMGNAMGEN INC20,248,000PA0.062635%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC18,865,000PA0.06262%
WELLS FARGO & COMPANYWELLS FARGO & COMPANY19,280,000PA0.062526%
ORANGE SAORANGE SA16,518,000PA0.062309%
ORACLE CORPORACLE CORP20,163,000PA0.062128%
MORGAN STANLEYMORGAN STANLEY19,198,000PA0.062123%
JPMORGAN CHASE & COJPMORGAN CHASE & CO19,111,000PA0.061924%
MORGAN STANLEYMORGAN STANLEY22,667,000PA0.061792%
ALPHABET INCALPHABET INC19,575,000PA0.061677%
BANK OF AMERICA CORPBANK OF AMERICA CORP20,558,000PA0.061558%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC18,985,000PA0.061478%
AMZNAMAZON.COM INC29,054,000PA0.061441%
JPMORGAN CHASE & COJPMORGAN CHASE & CO19,197,000PA0.06123%
ALPHABET INCALPHABET INC19,414,000PA0.061131%
CITIGROUP INCCITIGROUP INC15,175,000PA0.061059%
BRISTOL-MYERS SQUIBB COBRISTOL-MYERS SQUIBB CO23,501,000PA0.061046%
JPMORGAN CHASE & COJPMORGAN CHASE & CO19,145,000PA0.06064%
MORGAN STANLEYMORGAN STANLEY21,848,000PA0.06057%
PACIFIC GAS & ELECTRICPACIFIC GAS & ELECTRIC19,257,000PA0.060533%
ABBVABBVIE INC21,302,000PA0.060373%
VZVERIZON COMMUNICATIONS19,361,000PA0.060366%
ALPHABET INCALPHABET INC19,228,000PA0.060032%
WELLS FARGO & COMPANYWELLS FARGO & COMPANY19,065,000PA0.059728%
MORGAN STANLEYMORGAN STANLEY20,683,000PA0.059507%
AVGOBROADCOM INC18,985,000PA0.059396%
MSFTMICROSOFT CORP32,730,000PA0.059287%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC18,144,000PA0.059188%
FORD MOTOR COMPANYFORD MOTOR COMPANY21,058,000PA0.059173%
MORGAN STANLEYMORGAN STANLEY16,912,000PA0.059074%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC18,305,000PA0.059047%
AT&T INCAT&T INC18,708,000PA0.058985%
WELLS FARGO & COMPANYWELLS FARGO & COMPANY18,935,000PA0.058976%
ORACLE CORPORACLE CORP28,711,000PA0.05886%
MORGAN STANLEYMORGAN STANLEY20,692,000PA0.058813%
AVGOBROADCOM INC18,622,000PA0.058798%
CITIGROUP INCCITIGROUP INC20,792,000PA0.058752%
UNHUNITEDHEALTH GROUP INC19,065,000PA0.058729%
AMGNAMGEN INC18,397,000PA0.058678%
MORGAN STANLEYMORGAN STANLEY19,190,000PA0.058616%
WELLS FARGO & COMPANYWELLS FARGO & COMPANY17,962,000PA0.058546%
ORACLE CORPORACLE CORP26,869,000PA0.058522%
EXXON MOBIL CORPORATIONEXXON MOBIL CORPORATION25,451,000PA0.058427%
ORACLE CORPORACLE CORP24,881,000PA0.058401%
PACIFIC GAS & ELECTRICPACIFIC GAS & ELECTRIC21,608,000PA0.05834%
JPMORGAN CHASE & COJPMORGAN CHASE & CO18,856,000PA0.058321%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC18,448,000PA0.058297%
LLOYDS BANKING GROUP PLCLLOYDS BANKING GROUP PLC18,165,000PA0.058146%
AT&T INCAT&T INC19,101,000PA0.058132%
AT&T INCAT&T INC23,108,000PA0.058039%
CITIGROUP INCCITIGROUP INC19,664,000PA0.058028%
T-MOBILE USA INCT-MOBILE USA INC22,098,000PA0.057842%
SNPSSYNOPSYS INC18,089,000PA0.05783%
AT&T INCAT&T INC19,845,000PA0.057748%
AT&T INCAT&T INC25,773,000PA0.057648%
ORACLE CORPORACLE CORP20,406,000PA0.057562%
INTERCONTINENTALEXCHANGEINTERCONTINENTALEXCHANGE18,117,000PA0.057372%
CVSCVS HEALTH CORP17,790,000PA0.057338%
VZVERIZON COMMUNICATIONS17,832,000PA0.057338%
MOALTRIA GROUP INC18,092,000PA0.057335%
CITIGROUP INCCITIGROUP INC17,780,000PA0.057269%
CITIGROUP INCCITIGROUP INC17,858,000PA0.057267%
UNHUNITEDHEALTH GROUP INC18,342,000PA0.057255%
BANK OF AMERICA CORPBANK OF AMERICA CORP21,525,000PA0.057146%
GILDGILEAD SCIENCES INC19,925,000PA0.057002%
KRAFT HEINZ FOODS COKRAFT HEINZ FOODS CO22,175,000PA0.056958%
NOVARTIS CAPITAL CORPNOVARTIS CAPITAL CORP19,535,000PA0.056915%
T-MOBILE USA INCT-MOBILE USA INC18,843,000PA0.056866%
CITIGROUP INCCITIGROUP INC18,114,000PA0.056793%
MITSUBISHI UFJ FIN GRPMITSUBISHI UFJ FIN GRP18,015,000PA0.056789%
MORGAN STANLEYMORGAN STANLEY20,881,000PA0.056786%
EXXON MOBIL CORPORATIONEXXON MOBIL CORPORATION21,198,000PA0.056718%
GLAXOSMITHKLINE CAP INCGLAXOSMITHKLINE CAP INC15,915,000PA0.056679%
METAMETA PLATFORMS INC18,687,000PA0.056674%
ABBVABBVIE INC19,649,000PA0.056652%
LLOYDS BANKING GROUP PLCLLOYDS BANKING GROUP PLC18,038,000PA0.056613%
CITIBANK NACITIBANK NA17,525,000PA0.056568%
BARCLAYS PLCBARCLAYS PLC19,660,000PA0.056552%
ALPHABET INCALPHABET INC17,787,000PA0.05638%
COMCAST CORPCOMCAST CORP32,354,000PA0.056356%
CICIGNA GROUP/THE18,616,000PA0.05629%

SEC N-PORT snapshot as of .

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