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Holdings (Monthly) Guide ↗

iShares iBonds Dec 2035 Term Corporate ETF

· iShares Trust
Monthly Holdings $312M AUM 99 positions Period Jan 2026 Filed Mar 27, 2026 EDGAR ↗ ← All Funds
All 99 New 319 Added 7 Exited · Jan 2026 vs Jul 2025
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Meta Platforms, Inc. 30303MAD4 4,175,000 NEW $4.1M 1.49% DBT
2 Oracle Corp. 68389XDM4 2,925,000 NEW $2.8M 1.01% DBT
3 Alphabet, Inc. 02079KAY3 2,355,000 NEW $2.3M 0.84% DBT
4 Amazon.com, Inc. 023135CV6 2,255,000 NEW $2.2M 0.80% DBT
5 Global Payments, Inc. 37940XAY8 1,475,000 NEW $1.5M 0.53% DBT
6 Merck & Co., Inc. 58933YBS3 1,370,000 NEW $1.4M 0.50% DBT
7 CVS Health Corp. 126650EK2 1,225,000 NEW $1.2M 0.45% DBT
8 MPLX LP 55336VCC2 1,225,000 NEW $1.2M 0.45% DBT
9 Merck & Co., Inc. 58933YBZ7 1,140,000 NEW $1.1M 0.41% DBT
10 AT&T, Inc. 00206RNC2 1,120,000 NEW $1.1M 0.40% DBT
11 Chubb INA Holdings LLC 171239AM8 1,100,000 NEW $1.1M 0.40% DBT
12 Eli Lilly & Co. 532457DE5 1,065,000 NEW $1.1M 0.39% DBT
13 Pfizer, Inc. 717081FF5 1,075,000 NEW $1.1M 0.39% DBT
14 Charter Communications Operating LLC 161175CS1 1,045,000 NEW $1.0M 0.37% DBT
15 Toronto-Dominion Bank (The) 89115KAJ9 1,040,000 NEW $1.0M 0.37% DBT
16 Banco Santander SA 05971KAS8 1,035,000 NEW $1.0M 0.37% DBT
17 Lowe's Cos., Inc. 548661EX1 1,040,000 NEW $1.0M 0.37% DBT
18 MSCI, Inc. 55354GAR1 1,015,000 NEW $1.0M 0.37% DBT
19 Uber Technologies, Inc. 90353TAU4 1,000,000 NEW $989K 0.36% DBT
20 Zoetis, Inc. 98978VAX1 880,000 NEW $885K 0.32% DBT
21 Roper Technologies, Inc. 776696AM8 870,000 NEW $868K 0.31% DBT
22 ONEOK, Inc. 682680DC4 860,000 NEW $867K 0.31% DBT
23 Duke Energy Corp. 26441CCJ2 870,000 NEW $862K 0.31% DBT
24 T-Mobile USA, Inc. 87264ADX0 870,000 NEW $861K 0.31% DBT
25 Manulife Financial Corp. 56501RAX4 845,000 NEW $844K 0.30% DBT
26 CF Industries, Inc. 12527GAL7 830,000 NEW $830K 0.30% DBT
27 Alibaba Group Holding Ltd. 01609WBP6 800,000 NEW $829K 0.30% DBT
28 Fiserv, Inc. 337738BQ0 835,000 NEW $828K 0.30% DBT
29 Ford Motor Credit Co. LLC 345397H89 815,000 NEW $811K 0.29% DBT
30 Amrize Finance US LLC 43475RAT3 780,000 NEW $807K 0.29% DBT
31 Chevron USA, Inc. 166756BL9 785,000 NEW $793K 0.29% DBT
32 Baxter International, Inc. 071813DE6 775,000 NEW $781K 0.28% DBT
33 KKR & Co., Inc. 48251WAB0 775,000 NEW $767K 0.28% DBT
34 Public Service Co. of Colorado 744448DC2 735,000 NEW $742K 0.27% DBT
35 HCA, Inc. 404119DF3 755,000 NEW $741K 0.27% DBT
36 Home Depot, Inc. (The) 437076DK5 745,000 NEW $736K 0.27% DBT
37 Royalty Pharma plc 78081BAU7 720,000 NEW $724K 0.26% DBT
38 Lockheed Martin Corp. 539830CM9 710,000 NEW $723K 0.26% DBT
39 Virginia Electric & Power Co. 927804GV0 705,000 NEW $700K 0.25% DBT
40 Simon Property Group LP 828807EA1 685,000 NEW $693K 0.25% DBT
41 Apollo Global Management, Inc. 03769MAE6 675,000 NEW $672K 0.24% DBT
42 Carlyle Group, Inc. (The) 14316JAA6 680,000 NEW $669K 0.24% DBT
43 Ascension Health 04351LAE0 655,000 NEW $655K 0.24% DBT
44 Amcor Flexibles North America, Inc. 02344AAH1 620,000 NEW $641K 0.23% DBT
45 NXP BV 62954HBH0 615,000 NEW $622K 0.22% DBT
46 JBS NV 472140AB8 569,000 NEW $597K 0.22% DBT
47 Thermo Fisher Scientific, Inc. 883556DE9 595,000 NEW $592K 0.21% DBT
48 Southwest Airlines Co. 844741BM9 600,000 NEW $587K 0.21% DBT
49 Raymond James Financial, Inc. 754730AJ8 590,000 NEW $585K 0.21% DBT
50 Novartis Capital Corp. 66989HBA5 560,000 NEW $554K 0.20% DBT
51 GE HealthCare Technologies, Inc. 36266GAE7 550,000 NEW $545K 0.20% DBT
52 Duke Energy Florida LLC 26444HAU5 535,000 NEW $531K 0.19% DBT
53 Western Midstream Operating LP 958667AJ6 520,000 NEW $518K 0.19% DBT
54 Flex Ltd. 33938XAG0 515,000 NEW $514K 0.19% DBT
55 Bunge Ltd. Finance Corp. 120568BR0 505,000 NEW $512K 0.18% DBT
56 Westlake Corp. 960413BB7 510,000 NEW $508K 0.18% DBT
57 Philip Morris International, Inc. 718172EA3 520,000 NEW $507K 0.18% DBT
58 AerCap Ireland Capital DAC 00774MBS3 505,000 NEW $498K 0.18% DBT
59 Public Service Electric & Gas Co. 74456QCW4 490,000 NEW $492K 0.18% DBT
60 TD SYNNEX Corp. 87162WAN0 495,000 NEW $490K 0.18% DBT
61 Ecolab, Inc. 278865BS8 475,000 NEW $484K 0.17% DBT
62 Marriott International, Inc. 571903BX0 475,000 NEW $481K 0.17% DBT
63 DTE Energy Co. 233331BP1 480,000 NEW $478K 0.17% DBT
64 Southern Power Co. 843646AY6 485,000 NEW $477K 0.17% DBT
65 Otis Worldwide Corp. 68902VAS6 450,000 NEW $456K 0.16% DBT
66 PECO Energy Co. 693304BH9 450,000 NEW $451K 0.16% DBT
67 Packaging Corp. of America 695156AY5 445,000 NEW $451K 0.16% DBT
68 Quanta Services, Inc. 74762EAP7 450,000 NEW $450K 0.16% DBT
69 CenterPoint Energy Houston Electric LLC 15189XBH0 440,000 NEW $441K 0.16% DBT
70 Carlisle Cos., Inc. 142339AN0 430,000 NEW $437K 0.16% DBT
71 Altria Group, Inc. 02209SBV4 430,000 NEW $434K 0.16% DBT
72 Constellation Brands, Inc. 21036PBT4 430,000 NEW $425K 0.15% DBT
73 CNA Financial Corp. 126117AZ3 420,000 NEW $421K 0.15% DBT
74 Enbridge, Inc. 29250NCP8 390,000 NEW $391K 0.14% DBT
75 Lincoln National Corp. 534187BZ1 390,000 NEW $390K 0.14% DBT
76 S&P Global, Inc. 78409VBR4 390,000 NEW $386K 0.14% DBT
77 eBay, Inc. 278642BE2 385,000 NEW $385K 0.14% DBT
78 Sherwin-Williams Co. (The) 824348BW5 375,000 NEW $381K 0.14% DBT
79 CubeSmart LP 22966RAK2 380,000 NEW $379K 0.14% DBT
80 Gartner, Inc. 366651AK3 375,000 NEW $374K 0.13% DBT
81 Southern Co. Gas Capital Corp. 8426EPAK4 370,000 NEW $372K 0.13% DBT
82 Hyatt Hotels Corp. 448579AW2 370,000 NEW $371K 0.13% DBT
83 Procter & Gamble Co. (The) 742718GQ6 365,000 NEW $358K 0.13% DBT
84 Hubbell, Inc. 443510AL6 360,000 NEW $356K 0.13% DBT
85 Kilroy Realty LP 49427RAT9 345,000 NEW $347K 0.13% DBT
86 Essential Utilities, Inc. 29670GAK8 335,000 NEW $340K 0.12% DBT
87 Hanover Insurance Group, Inc. (The) 410867AH8 335,000 NEW $339K 0.12% DBT
88 CommonSpirit Health 20268JBD4 325,000 NEW $320K 0.12% DBT
89 APA Corp. 03743QAR9 305,000 NEW $314K 0.11% DBT
90 Cardinal Health, Inc. 14149YBV9 310,000 NEW $314K 0.11% DBT
91 American Financial Group, Inc. 025932AQ7 315,000 NEW $308K 0.11% DBT
92 Fairfax Financial Holdings Ltd. 303901BX9 295,000 NEW $307K 0.11% DBT
93 Evergy Metro, Inc. 30037DAE5 285,000 NEW $288K 0.10% DBT
94 Essential Properties LP 29670VAB5 275,000 NEW $276K 0.10% DBT
95 Canadian National Railway Co. 136375DW9 265,000 NEW $265K 0.10% DBT
96 Lazard Group LLC 52107QAM7 255,000 NEW $261K 0.09% DBT
97 Unum Group 91529YAU0 245,000 NEW $243K 0.09% DBT
98 FedEx Corp. 31428XDK9 210,000 NEW $196K 0.07% DBT
99 Cornell University 219207AF4 160,000 NEW $160K 0.06% DBT