iSHARES TRUST - Common Stock (HYG) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Common Stock
Symbol
HYG
Shares outstanding
223,610,933
Price per share
$81.03
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
272,438,867
Total reported value
$21,964,059,098
% of total 13F portfolios
0.06%
Share change
-3,390,889
Value change
-$277,100,297
Number of holders
975
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of iSHARES TRUST - Common Stock (HYG) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock Portfolio Management LLC 10% +16% $1,875,093,948 +$218,477,386 23,255,537 +13% BlackRock Portfolio Management LLC 30 Jan 2026

As of 31 Dec 2025, 975 institutional investors reported holding 272,438,867 shares of iSHARES TRUST - Common Stock (HYG). This represents 122% of the company’s total 223,610,933 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of iSHARES TRUST - Common Stock (HYG) together control 86% of the company’s outstanding shares — a level of ownership often associated with strong institutional conviction and long‑term capital commitment.

Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
BlackRock, Inc. 10% 23,455,261 +14% 0.03% $1,891,197,695
MORGAN STANLEY 8.1% 18,215,323 +8.4% 0.09% $1,468,701,580
Clark Capital Management Group, Inc. 7.7% 17,193,834 -0.67% 8.5% $1,386,338,816
BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp 5.5% 12,224,618 +8.9% 5.2% $985,670,949
BANK OF AMERICA CORP /DE/ 5% 11,124,526 -40% 0.07% $896,970,501
ONTARIO TEACHERS PENSION PLAN BOARD 4.9% 11,050,000 +117% 20% $890,961,500
Japan Science & Technology Agency 4.6% 10,390,626 0% 15% $837,796,174
Nuveen, LLC 4.1% 9,254,957 -25% 0.2% $746,227,183
ROYAL BANK OF CANADA 3.3% 7,354,316 +18% 0.1% $592,978,000
ASSETMARK, INC 3.1% 7,005,455 -4.2% 1.2% $564,849,855
NORTHWESTERN MUTUAL INVESTMENT MANAGEMENT COMPANY, LLC 2.6% 5,845,000 5.5% $471,282,350
WELLS FARGO & COMPANY/MN 2.5% 5,682,790 +16% 0.09% $458,203,441
APG Asset Management US Inc. 2.5% 5,632,436 +22% 3.6% $454,143,315
BARCLAYS PLC 2.3% 5,247,956 -49% 0.17% $423,142,693
Caisse de depot et placement du Quebec 2.3% 5,059,724 0.69% $407,965,546
ENVESTNET ASSET MANAGEMENT INC 2.2% 5,029,894 -1.8% 0.12% $405,560,331
BNP PARIBAS 2.1% 4,628,450 -1.9% 11% $373,191,924
UBS Group AG 2% 4,419,832 +75% 0.07% $356,371,054
GOLDMAN SACHS GROUP INC 1.7% 3,836,777 -44% 0.04% $309,359,379
Elliott Investment Management L.P. 1.7% 3,800,000 0% 2.1% $306,394,000
Counterpoint Mutual Funds LLC 1.6% 3,627,257 +4.6% 22% $292,465,732
BNP PARIBAS FINANCIAL MARKETS 1.6% 3,560,164 0% 0.18% $287,056,023
Ocean Park Asset Management, LLC 1.5% 3,333,791 -1.4% 13% $268,803,568
TD Asset Management Inc 1.4% 3,067,655 -43% 0.2% $247,345,023
CITIGROUP INC 1.3% 2,981,191 -26% 0.16% $240,373,430

Institutional Holders of iSHARES TRUST - Common Stock (HYG) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 272,438,867 $21,964,059,098 -$277,100,297 $80.63 975
2025 Q3 276,878,578 $22,475,222,115 +$1,669,008,874 $81.19 911
2025 Q2 261,104,157 $21,044,494,844 +$734,671,544 $80.65 915
2025 Q1 246,400,755 $19,431,342,415 +$1,811,520,235 $78.89 922
2024 Q4 225,480,574 $17,738,847,032 -$1,057,356,994 $78.65 974
2024 Q3 241,684,665 $19,410,147,081 +$900,323,534 $80.30 889
2024 Q2 223,804,953 $17,265,661,147 -$1,101,276,227 $77.14 890
2024 Q1 241,722,093 $18,784,558,449 -$1,245,900,913 $77.73 904
2023 Q4 253,254,132 $19,596,502,218 +$429,745,251 $77.39 923
2023 Q3 244,966,532 $18,057,931,616 +$1,645,575,176 $73.72 850
2023 Q2 221,802,547 $16,649,514,680 +$1,482,648,501 $75.07 860
2023 Q1 202,450,487 $15,293,278,998 -$3,528,249,737 $75.55 833
2022 Q4 254,138,936 $18,711,044,699 +$3,626,207,398 $73.63 892
2022 Q3 195,087,712 $13,931,821,904 -$2,093,987,686 $71.39 775
2022 Q2 225,346,671 $16,592,214,052 -$437,177,270 $73.61 778
2022 Q1 224,923,856 $18,507,333,123 -$980,932,248 $82.29 868
2021 Q4 232,894,151 $20,254,556,390 -$198,766,593 $87.01 936
2021 Q3 230,885,802 $20,199,738,240 -$316,778,931 $87.49 873
2021 Q2 236,104,814 $20,783,625,568 -$1,505,875,951 $88.04 893
2021 Q1 247,651,201 $21,589,741,078 -$3,515,765,495 $87.18 882
2020 Q4 289,333,588 $25,255,290,847 +$1,380,255,474 $87.30 878
2020 Q3 270,178,716 $22,663,380,783 -$801,919,348 $83.90 777
2020 Q2 279,938,393 $22,845,134,324 +$4,674,172,836 $81.62 756
2020 Q1 224,117,037 $17,284,933,779 -$1,252,971,591 $77.07 712
2019 Q4 226,823,639 $19,947,413,878 +$454,891,604 $87.94 794
2019 Q3 204,363,111 $17,811,471,848 +$782,807,205 $87.17 662
2019 Q2 195,719,442 $17,062,491,672 -$780,578,232 $87.18 670
2019 Q1 203,117,473 $17,561,967,932 +$1,304,568,238 $86.47 689
2018 Q4 188,807,546 $15,332,277,372 +$262,303,723 $81.10 667
2018 Q3 181,856,602 $15,718,942,781 -$144,695,817 $86.44 639
2018 Q2 186,926,251 $15,906,320,927 +$2,412,421,768 $85.08 637
2018 Q1 157,512,160 $13,489,237,419 -$955,497,810 $85.64 628
2017 Q4 169,431,694 $14,784,531,673 -$1,682,262,165 $87.26 679
2017 Q3 183,970,284 $16,324,077,035 +$2,555,373,201 $88.76 596
2017 Q2 154,710,301 $13,673,848,288 -$1,039,887,126 $88.39 589
2017 Q1 165,084,658 $14,489,359,599 +$1,628,864,335 $87.78 588
2016 Q4 167,520,665 $14,444,868,873 +$552,906,573 $86.55 571
2016 Q3 157,583,901 $13,748,893,408 +$263,472,975 $87.26 532
2016 Q2 155,215,081 $13,148,360,276 -$473,196,133 $84.70 523
2016 Q1 159,076,551 $12,994,899,868 +$1,610,612,286 $81.69 502
2015 Q4 138,001,345 $11,117,900,455 +$2,204,897,990 $80.58 495
2015 Q3 108,847,193 $9,065,784,854 +$533,424,897 $83.29 451
2015 Q2 102,602,582 $9,109,518,611 -$1,159,775,720 $88.80 457
2015 Q1 115,454,608 $10,460,019,984 +$856,118,499 $90.61 480
2014 Q4 105,916,519 $9,488,766,056 +$1,792,321,951 $89.60 474
2014 Q3 84,124,014 $7,721,320,595 -$442,921,793 $91.95 420
2014 Q2 89,152,182 $8,484,735,215 -$785,889,991 $95.20 431
2014 Q1 97,038,405 $9,158,483,533 +$90,741,471 $94.39 435