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iShares iBonds Dec 2029 Term Corporate ETF

Open-end / ETF
Registrant
iShares Trust
Class ticker
Net Assets
$3,725,758,503
Holdings
652
Latest Report
Apr 30, 2026

Net Assets Over Time

Holdings · 652

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Showing 1–50 of 652 holdings by value · page 1 of 14
Holding Balance Value % of Fund Open
BlackRock Funds III
169,921,491 $169,972,467 4.56%
ABBVIE INC
39,976,000 $38,448,978 1.03%
SALESFORCE INC
26,976,000 $27,023,478 0.73%
VERIZON COMMUNICATIONS
24,879,000 $24,533,955 0.66%
IBM CORP
24,294,000 $23,621,454 0.63%
AT&T INC
22,771,000 $22,735,181 0.61%
ORACLE CORP
22,840,000 $22,553,075 0.61%
ANHEUSER-BUSCH INBEV WOR
22,230,000 $22,448,503 0.60%
FISERV INC
23,208,000 $22,305,044 0.60%
AMAZON.COM INC
20,876,000 $20,728,829 0.56%
SUMITOMO MITSUI FINL GRP
20,338,000 $19,405,345 0.52%
BLACKROCK CASH FUNDS TREASURY SL AGENCY SHARES
19,240,000 $19,240,000 0.52%
ABBVIE INC
18,871,000 $19,146,434 0.51%
WELLS FARGO & COMPANY
18,697,000 $18,600,867 0.50%
ABBOTT LABORATORIES
18,790,000 $18,535,411 0.50%
CISCO SYSTEMS INC
17,911,000 $18,201,562 0.49%
BROADCOM INC
17,597,000 $17,935,106 0.48%
FOX CORP
15,643,000 $15,679,378 0.42%
T-MOBILE USA INC
16,054,000 $15,575,127 0.42%
ALPHABET INC
15,596,000 $15,423,823 0.41%
HCA INC
15,576,000 $15,359,630 0.41%
CENTENE CORP
15,547,000 $15,155,194 0.41%
ALTRIA GROUP INC
14,107,000 $14,210,881 0.38%
INTEL CORP
15,176,000 $14,127,650 0.38%
WALT DISNEY COMPANY/THE
15,152,000 $14,101,699 0.38%
MERCK & CO INC
13,540,000 $13,253,970 0.36%
HP ENTERPRISE CO
13,294,000 $13,241,534 0.36%
BRISTOL-MYERS SQUIBB CO
13,459,000 $13,093,414 0.35%
DELL INT LLC / EMC CORP
12,665,000 $12,937,264 0.35%
CVS HEALTH CORP
13,302,000 $12,765,757 0.34%
HOME DEPOT INC
12,946,000 $12,455,841 0.33%
APPLE INC
12,964,000 $12,241,522 0.33%
MITSUBISHI UFJ FIN GRP
12,681,000 $12,163,517 0.33%
PFIZER INC
12,384,000 $12,146,537 0.33%
FORD MOTOR CREDIT CO LLC
11,912,000 $12,062,638 0.32%
AMERICAN TOWER CORP
12,279,000 $11,999,860 0.32%
CHARTER COMM OPT LLC/CAP
11,504,000 $11,877,815 0.32%
BROADCOM INC
11,747,000 $11,875,505 0.32%
FORD MOTOR CREDIT CO LLC
11,580,000 $11,508,295 0.31%
SUZANO AUSTRIA GMBH
11,209,000 $11,477,042 0.31%
CITIBANK NA
11,319,000 $11,462,320 0.31%
BOEING CO/THE
10,859,000 $11,389,067 0.31%
ENERGY TRANSFER LP
11,172,000 $11,382,552 0.31%
MARSH & MCLENNAN COS INC
11,222,000 $11,224,664 0.30%
HONEYWELL AEROSPACE INC
11,250,000 $11,127,284 0.30%
PNC FINANCIAL SERVICES
11,389,000 $11,124,203 0.30%
FIDELITY NATL INFO SERV
11,157,000 $11,112,084 0.30%
AMAZON.COM INC
10,954,000 $11,094,433 0.30%
EATON CORP
11,144,000 $11,030,335 0.30%
GENERAL MOTORS FINL CO
10,676,000 $10,984,253 0.29%