ISHARES TR - IBONDS 25 TRM TS (IBTF) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2020 to Q4 2025

Type / Class
Equity / IBONDS 25 TRM TS
Symbol
IBTF
Price per share
$753.33
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
85,035
Total reported value
$3,427,494
% of total 13F portfolios
0%
Share change
-59,006,253
Value change
-$1,378,562,965
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 31 Dec 2025, 2 institutional investors reported holding 85,035 shares of ISHARES TR - IBONDS 25 TRM TS (IBTF).

Institutional Holders of ISHARES TR - IBONDS 25 TRM TS (IBTF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 85,035 $3,427,494 -$1,378,562,965 $753.33 2
2025 Q3 59,348,791 $1,386,560,324 -$98,476,279 $23.36 303
2025 Q2 63,112,756 $1,474,179,556 -$242,251,386 $23.36 306
2025 Q1 73,990,323 $1,729,027,111 -$174,522,231 $23.37 297
2024 Q4 82,417,582 $1,922,058,881 +$335,817,737 $23.32 301
2024 Q3 67,092,067 $1,571,179,419 -$259,191,649 $23.42 270
2024 Q2 78,200,630 $1,815,799,393 +$102,074,817 $23.22 244
2024 Q1 74,420,037 $1,728,754,980 +$278,758,084 $23.23 232
2023 Q4 62,286,416 $1,450,041,890 +$108,626,727 $23.28 223
2023 Q3 54,562,646 $1,259,219,498 +$113,221,604 $23.08 179
2023 Q2 49,731,527 $1,150,345,998 +$171,265,170 $23.13 163
2023 Q1 42,289,536 $995,031,934 +$196,705,988 $23.53 143
2022 Q4 33,602,033 $782,313,377 +$540,742,152 $23.28 114
2022 Q3 10,545,050 $245,490,430 +$167,843,946 $23.28 63
2022 Q2 3,663,250 $87,850,502 +$16,140,501 $23.98 37
2022 Q1 2,620,473 $63,625,220 +$47,153,595 $24.28 20
2021 Q4 677,343 $17,156,234 +$967,359 $25.35 17
2021 Q3 613,434 $15,732,392 +$49,017 $25.65 14
2021 Q2 611,473 $15,697,000 -$2,075,297 $25.67 11
2021 Q1 692,321 $17,745,000 +$4,577,955 $25.63 10
2020 Q4 513,409 $13,396,000 -$957,502 $26.10 8
2020 Q3 550,118 $14,407,000 -$355,063 $26.19 6
2020 Q2 563,664 $14,757,000 -$1,118,710 $26.18 5
2020 Q1 606,405 $15,834,000 +$15,834,000 $26.12 5