iShares Broad USD High Yield Corporate Bond ETF
Open-end / ETFRegistrant
iShares Trust
Class ticker
Net Assets
$26,227,454,774
Holdings
1,898
Latest Report
Apr 30, 2026
Net Assets Over Time
Holdings · 1,898
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Showing 1–50
of 1,898 holdings by value
· page 1 of 38
| Holding | Symbol | Balance | Value | % of Fund | Side | Category | Open |
|---|---|---|---|---|---|---|---|
|
BlackRock Funds III
|
066922519 | 3,177,978,618 | $3,178,932,011 | 12.12% | Long | STIV | |
|
BLACKROCK CASH FUNDS TREASURY SL AGENCY SHARES
|
066922477 | 404,750,000 | $404,750,000 | 1.54% | Long | STIV | |
|
1261229 BC LTD
|
68288AAA5 | 119,334,000 | $123,245,530 | 0.47% | Long | DBT | |
|
ECHOSTAR CORP
|
278768AC0 | 99,716,000 | $108,266,887 | 0.41% | Long | DBT | |
|
QUIKRETE HOLDINGS INC
|
74843PAA8 | 72,287,000 | $73,427,546 | 0.28% | Long | DBT | |
|
SV RNO PROPERTY OWNER 1
|
78488XAA2 | 73,034,000 | $71,657,213 | 0.27% | Long | DBT | |
|
CLOUD SOFTWARE GRP INC
|
88632QAE3 | 69,677,000 | $67,841,428 | 0.26% | Long | DBT | |
|
WULF COMPUTE LLC
|
982911AA7 | 63,448,764 | $66,684,345 | 0.25% | Long | DBT | |
|
ASURION LLC/ASURION CO
|
045941AA9 | 63,613,000 | $66,449,440 | 0.25% | Long | DBT | |
|
HUB INTERNATIONAL LTD
|
44332PAH4 | 63,899,000 | $66,101,662 | 0.25% | Long | DBT | |
|
CLOUD SOFTWARE GRP INC
|
18912UAA0 | 67,261,000 | $66,042,576 | 0.25% | Long | DBT | |
|
VENTURE GLOBAL LNG INC
|
92332YAC5 | 56,097,000 | $61,222,415 | 0.23% | Long | DBT | |
|
ASURION LLC/ASURION CO
|
045941AB7 | 59,824,000 | $59,022,831 | 0.23% | Long | DBT | |
|
DISH NETWORK CORP
|
25470MAG4 | 53,346,000 | $55,069,076 | 0.21% | Long | DBT | |
|
AMERICAN AIRLINES/AADVAN
|
00253XAB7 | 54,688,500 | $54,725,639 | 0.21% | Long | DBT | |
|
PANTHER ESCROW ISSUER
|
69867RAA5 | 54,266,000 | $54,520,111 | 0.21% | Long | DBT | |
|
CARNIVAL CORP
|
143658CA8 | 53,521,000 | $53,790,104 | 0.21% | Long | DBT | |
|
EMRLD BOR / EMRLD CO-ISS
|
29103CAA6 | 51,378,000 | $52,599,717 | 0.20% | Long | DBT | |
|
DAVITA INC
|
23918KAS7 | 54,323,000 | $52,587,521 | 0.20% | Long | DBT | |
|
TRANSDIGM INC
|
893647BU0 | 50,749,000 | $51,761,696 | 0.20% | Long | DBT | |
|
DISCOVERY HOLDINGS INC
|
55903VBW2 | 72,511,000 | $51,738,774 | 0.20% | Long | DBT | |
|
1011778 BC / NEW RED FIN
|
68245XAM1 | 52,806,000 | $50,237,431 | 0.19% | Long | DBT | |
|
TRANSDIGM INC
|
893647BY2 | 49,521,000 | $49,901,767 | 0.19% | Long | DBT | |
|
LEVEL 3 FINANCING INC
|
527298CN1 | 47,662,000 | $49,436,313 | 0.19% | Long | DBT | |
|
CCO HLDGS LLC/CAP CORP
|
1248EPCK7 | 53,516,000 | $48,606,562 | 0.19% | Long | DBT | |
|
CCO HLDGS LLC/CAP CORP
|
1248EPCD3 | 51,041,000 | $48,383,265 | 0.18% | Long | DBT | |
|
NEPTUNE BIDCO US INC
|
640695AA0 | 47,793,000 | $48,335,426 | 0.18% | Long | DBT | |
|
CCO HLDGS LLC/CAP CORP
|
1248EPBX0 | 48,695,000 | $48,123,444 | 0.18% | Long | DBT | |
|
DISCOVERY HOLDINGS INC
|
55903VBQ5 | 53,069,000 | $48,066,185 | 0.18% | Long | DBT | |
|
NEXSTAR MEDIA INC
|
65346UAB5 | 47,683,000 | $48,049,968 | 0.18% | Long | DBT | |
|
APLD COMPUTECO LLC
|
00202DAA5 | 44,394,000 | $47,718,438 | 0.18% | Long | DBT | |
|
MAUSER PACKAGING SOLUT
|
57763RAE7 | 47,072,000 | $47,597,559 | 0.18% | Long | DBT | |
|
ALLIED UNIVERSAL HOLDCO
|
019576AD9 | 44,362,000 | $46,530,060 | 0.18% | Long | DBT | |
|
CCO HLDGS LLC/CAP CORP
|
1248EPCN1 | 52,483,000 | $46,088,345 | 0.18% | Long | DBT | |
|
BEACH ACQUISITION BIDCO
|
07337JAC1 | 41,879,835 | $46,068,195 | 0.18% | Long | DBT | |
|
CCO HLDGS LLC/CAP CORP
|
1248EPCE1 | 49,253,000 | $45,941,480 | 0.18% | Long | DBT | |
|
MEDLINE BORROWER LP
|
62482BAB8 | 45,651,000 | $45,432,364 | 0.17% | Long | DBT | |
|
STAPLES INC
|
855030AQ5 | 47,449,000 | $45,354,108 | 0.17% | Long | DBT | |
|
DISH DBS CORP
|
25470XBF1 | 43,898,000 | $43,129,355 | 0.16% | Long | DBT | |
|
CARVANA CO
|
146869AM4 | 38,908,426 | $43,042,320 | 0.16% | Long | DBT | |
|
ECHOSTAR CORP
|
278768AA4 | 42,263,071 | $42,880,830 | 0.16% | Long | DBT | |
|
VENTURE GLOBAL LNG INC
|
92332YAB7 | 41,127,000 | $42,880,409 | 0.16% | Long | DBT | |
|
NISSAN MOTOR CO
|
654744AC5 | 43,213,000 | $42,695,278 | 0.16% | Long | DBT | |
|
UKG INC
|
90279XAA0 | 43,832,000 | $42,662,274 | 0.16% | Long | DBT | |
|
NRG ENERGY INC
|
629377DD1 | 42,892,000 | $42,598,477 | 0.16% | Long | DBT | |
|
LEVEL 3 FINANCING INC
|
527298CM3 | 40,985,000 | $42,297,826 | 0.16% | Long | DBT | |
|
CVS HEALTH CORP
|
126650EH9 | 40,688,000 | $42,214,504 | 0.16% | Long | DBT | |
|
DIRECTV FIN LLC/COINC
|
25461LAD4 | 40,063,000 | $41,685,151 | 0.16% | Long | DBT | |
|
VENTURE GLOBAL LNG INC
|
92332YAA9 | 40,433,000 | $41,371,895 | 0.16% | Long | DBT | |
|
VOLTAGRID LLC
|
92874BAA3 | 39,748,000 | $41,255,324 | 0.16% | Long | DBT |