ETF:USIG | ETF Holdings Page 76 | iShares Broad USD Investment Grade Corporate Bond ETF

Companies included in USIG Page 76

This is USIG'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 7,501–7,600 of 11,296.

TickerIssuerShares ownedUnitReported weight
MPCMARATHON PETROLEUM CORP1,099,000PA0.005329%
ROCHE HOLDINGS INCROCHE HOLDINGS INC900,000PA0.005327%
FLORIDA POWER & LIGHT COFLORIDA POWER & LIGHT CO910,000PA0.005327%
NIAGARA MOHAWK POWERNIAGARA MOHAWK POWER946,000PA0.005326%
PACIFIC GAS & ELECTRICPACIFIC GAS & ELECTRIC1,173,000PA0.005325%
MOSMOSAIC CO904,000PA0.005324%
PUBLIC SERVICE ENTERPRISPUBLIC SERVICE ENTERPRIS835,000PA0.005324%
VOLKSWAGEN GROUP AMERICAVOLKSWAGEN GROUP AMERICA890,000PA0.005324%
CANADIAN NATL RESOURCESCANADIAN NATL RESOURCES800,000PA0.005323%
DUKE ENERGY CAROLINASDUKE ENERGY CAROLINAS810,000PA0.005323%
MITSUBISHI CORPMITSUBISHI CORP870,000PA0.005321%
SOCIETE GENERALESOCIETE GENERALE1,155,000PA0.005321%
AMATAPPLIED MATERIALS INC1,367,000PA0.005319%
MAMASTERCARD INC1,115,000PA0.005319%
SINOPEC GRP DEV 2018SINOPEC GRP DEV 2018890,000PA0.005319%
KEYSPAN GAS EAST CORPKEYSPAN GAS EAST CORP875,000PA0.005319%
BAT CAPITAL CORPBAT CAPITAL CORP900,000PA0.005318%
SUMITOMO MITSUI FINL GRPSUMITOMO MITSUI FINL GRP900,000PA0.005317%
ALABAMA POWER COALABAMA POWER CO917,000PA0.005317%
CARGILL INCCARGILL INC900,000PA0.005315%
DOMINION ENERGY SOUTHDOMINION ENERGY SOUTH990,000PA0.005315%
SOUTHERN CAL EDISONSOUTHERN CAL EDISON1,012,000PA0.005313%
WMBWILLIAMS COMPANIES INC880,000PA0.005313%
RELIANCE INDUSTRIES LTDRELIANCE INDUSTRIES LTD1,225,000PA0.005311%
CENTERPOINT ENER HOUSTONCENTERPOINT ENER HOUSTON790,000PA0.005311%
SKANDINAVISKA ENSKILDASKANDINAVISKA ENSKILDA890,000PA0.005311%
CUBESMART LPCUBESMART LP1,005,000PA0.00531%
ASTRAZENECA FINANCE LLCASTRAZENECA FINANCE LLC900,000PA0.00531%
WMBWILLIAMS COMPANIES INC890,000PA0.005309%
MEGLOBAL CANADA ULCMEGLOBAL CANADA ULC860,000PA0.005309%
SYYSYSCO CORPORATION860,000PA0.005308%
NDAQNASDAQ INC1,315,000PA0.005307%
SABRA HEALTH CARE LPSABRA HEALTH CARE LP975,000PA0.005306%
BURLINGTN NORTH SANTA FEBURLINGTN NORTH SANTA FE990,000PA0.005306%
BOSTON PROPERTIES LPBOSTON PROPERTIES LP885,000PA0.005306%
JJACOBS SOLUTIONS INC900,000PA0.005304%
PWRQUANTA SERVICES INC885,000PA0.005303%
ASTRAZENECA FINANCE LLCASTRAZENECA FINANCE LLC900,000PA0.005301%
DUKE ENERGY INDIANA LLCDUKE ENERGY INDIANA LLC858,000PA0.005301%
AVALONBAY COMMUNITIESAVALONBAY COMMUNITIES855,000PA0.0053%
NFGNATIONAL FUEL GAS CO970,000PA0.005299%
PACIFIC LIFE GF IIPACIFIC LIFE GF II870,000PA0.005298%
JJACOBS SOLUTIONS INC900,000PA0.005297%
BANQUE FED CRED MUTUELBANQUE FED CRED MUTUEL895,000PA0.005297%
XCEL ENERGY INCXCEL ENERGY INC900,000PA0.005296%
LIBERTY MUTUAL GROUP INCLIBERTY MUTUAL GROUP INC1,269,000PA0.005294%
SHWSHERWIN-WILLIAMS CO1,180,000PA0.005294%
EIXEDISON INTERNATIONAL900,000PA0.005293%
OMEGA HLTHCARE INVESTORSOMEGA HLTHCARE INVESTORS923,000PA0.005293%
PROLOGIS TARGETED USPROLOGIS TARGETED US870,000PA0.005292%
FMR LLCFMR LLC880,000PA0.005292%
HSYHERSHEY COMPANY890,000PA0.00529%
CMS-PBCONSUMERS ENERGY CO1,100,000PA0.005289%
SOUTHERN COSOUTHERN CO949,000PA0.005289%
SHWSHERWIN-WILLIAMS CO966,000PA0.005288%
DENSO CORPDENSO CORP890,000PA0.005287%
PROLOGIS TARGETED USPROLOGIS TARGETED US900,000PA0.005286%
ALIMENTATION COUCHE-TARDALIMENTATION COUCHE-TARD1,183,000PA0.005285%
CON EDISON CO OF NY INCCON EDISON CO OF NY INC885,000PA0.005285%
WMWASTE MANAGEMENT INC875,000PA0.005285%
VIRGINIA ELEC & POWER COVIRGINIA ELEC & POWER CO1,157,000PA0.005285%
CLXCLOROX COMPANY908,000PA0.005284%
WTRGESSENTIAL UTILITIES INC949,000PA0.005283%
KOREA NATIONAL OIL CORPKOREA NATIONAL OIL CORP970,000PA0.005283%
TUCSON ELECTRIC POWER COTUCSON ELECTRIC POWER CO875,000PA0.005283%
ORIX CORPORIX CORP910,000PA0.005283%
VOLKSWAGEN GROUP AMERICAVOLKSWAGEN GROUP AMERICA936,000PA0.005282%
STEWART INFORMATION SERVSTEWART INFORMATION SERV996,000PA0.005282%
LOUISVILLE GAS & ELECLOUISVILLE GAS & ELEC875,000PA0.005282%
NOVANT HEALTH INCNOVANT HEALTH INC1,309,000PA0.005281%
HSBC BANK USA NAHSBC BANK USA NA855,000PA0.00528%
DEDEERE & COMPANY770,000PA0.00528%
SIMON PROPERTY GROUP LPSIMON PROPERTY GROUP LP845,000PA0.005279%
ROKROCKWELL AUTOMATION908,000PA0.005279%
PACIFIC LIFE GF IIPACIFIC LIFE GF II990,000PA0.005279%
CNH INDUSTRIAL CAP LLCCNH INDUSTRIAL CAP LLC885,000PA0.005277%
HCA INCHCA INC895,000PA0.005277%
PACIFICORPPACIFICORP915,000PA0.005277%
ANAUTONATION INC890,000PA0.005277%
AZNASTRAZENECA PLC1,305,000PA0.005276%
FDXFEDEX CORP975,000PA0.005275%
NORTHWESTERN MUTUAL GLBLNORTHWESTERN MUTUAL GLBL880,000PA0.005275%
WMWASTE MANAGEMENT INC875,000PA0.005275%
OKEONEOK INC971,000PA0.005275%
WMBWILLIAMS COMPANIES INC733,000PA0.005272%
DUKE ENERGY CAROLINASDUKE ENERGY CAROLINAS1,117,000PA0.00527%
COMMONWEALTH EDISON COCOMMONWEALTH EDISON CO905,000PA0.00527%
OKEONEOK INC1,140,000PA0.005269%
LLYELI LILLY & CO860,000PA0.005269%
MRVLMARVELL TECHNOLOGY INC860,000PA0.005268%
PEPPEPSICO INC895,000PA0.005268%
GBDCGOLUB CAPITAL BDC860,000PA0.005267%
GENERAL MOTORS FINL COGENERAL MOTORS FINL CO863,000PA0.005267%
MEXICO CITY ARPT TRUSTMEXICO CITY ARPT TRUST904,000PA0.005267%
ALABAMA POWER COALABAMA POWER CO805,000PA0.005266%
CON EDISON CO OF NY INCCON EDISON CO OF NY INC1,124,000PA0.005266%
MKLMARKEL GROUP INC1,300,000PA0.005266%
MANUF & TRADERS TRUST COMANUF & TRADERS TRUST CO901,000PA0.005265%
TGTTARGET CORP1,355,000PA0.005264%
DISWALT DISNEY COMPANY/THE943,000PA0.005264%

SEC N-PORT snapshot as of .

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