Skip to main content

IBCB · iShares iBonds Dec 2036 Term Corporate ETF ETF

iShares Trust

SEC fund profile
$24.39 -0.06% At close · Sep 4
Net assets $33,870,078
Holdings215
1 month
-1.13%
Year to date
52-week range
$24.34–$25.48
30-session avg volume
97,704

Market performance

Adjusted close · up to five years

Since Mar 2026

Fund profile

Structure
Open-end / ETF
SEC series
S000101600
Report date
Apr 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings19.20%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

DBT98.48%
STIV0.37%

Country allocation

US89.12%
CA2.61%
ES2.11%
GB1.33%
NL1.33%
LR0.75%
IE0.58%
Other1.04%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Amazon.com, Inc.$1,014,7603.00%
Anheuser-Busch Cos. LLC$863,6932.55%
Oracle Corp.$811,2132.40%
Salesforce, Inc.$767,7212.27%
Alphabet, Inc.$714,5692.11%
Abbott Laboratories$583,2391.72%
Honeywell Aerospace, Inc.$558,6311.65%
Broadcom, Inc.$419,9711.24%
Novartis Capital Corp.$392,0681.16%
Verizon Communications, Inc.$375,8521.11%
Broadcom, Inc.$371,3051.10%
Telefonica Emisiones SA$369,7091.09%
Eaton Corp.$349,5631.03%
Baker Hughes Holdings LLC$344,4481.02%
Occidental Petroleum Corp.$311,7240.92%
Abbott Laboratories$303,3000.90%
Amgen, Inc.$303,0820.89%
Berkshire Hathaway Energy Co.$273,3240.81%
Microsoft Corp.$273,0910.81%
Amphenol Corp.$270,5750.80%
Cigna Group (The)$260,1490.77%
Enterprise Products Operating LLC$257,3930.76%
Royal Caribbean Cruises Ltd.$255,6310.75%
Jefferies Financial Group, Inc.$235,6370.70%
Williams Cos., Inc. (The)$231,2340.68%
General Motors Co.$230,1430.68%
Thermo Fisher Scientific, Inc.$227,4250.67%
Bank of America NA$226,9940.67%
AbbVie, Inc.$224,8800.66%
Vistra Operations Co. LLC$223,0690.66%
EOG Resources, Inc.$220,0960.65%
MetLife, Inc.$215,4220.64%
JBS NV$214,2950.63%
Virginia Electric & Power Co.$209,6220.62%
Broadcom, Inc.$207,6390.61%
HSBC Holdings plc$206,1150.61%
T-Mobile USA, Inc.$205,6260.61%
Verizon Communications, Inc.$203,0560.60%
Dell International LLC$202,2840.60%
Dell International LLC$201,4330.59%
Oracle Corp.$197,4660.58%
AT&T, Inc.$181,6860.54%
Marvell Technology, Inc.$180,3020.53%
Walt Disney Co. (The)$179,8600.53%
AbbVie, Inc.$179,3470.53%
GE Vernova, Inc.$177,9410.53%
MPLX LP$176,9730.52%
LYB International Finance III LLC$176,7710.52%
Enbridge, Inc.$176,7430.52%
Shell Finance US, Inc.$176,7390.52%