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Home/ETF holdings/LQD

LQD holdingswhat does iShares iBoxx $ Investment Grade Corporate Bond ETF hold?

Largest positions from the fund’s most recent SEC Form N-PORT filing (reported quarterly, filed with a lag). Percentages are of net assets. SEC Form N-PORT · as of 2026-05-31

Top 150 positions shownTop-10 holdings weight: 9.5%as of 2026-05-31
#HoldingWeightValue
1BlackRock Funds IIIBISXX7.23%$2.15B
2BLACKROCK CASH FUNDS TREASURY SL AGENCY SHARESXTSLA0.95%$282.44M
3ANHEUSER-BUSCH CO/INBEV0.20%$60.96M
4CVS HEALTH CORP0.17%$50.37M
5T-MOBILE USA INC0.16%$48.10M
6META PLATFORMS INC0.16%$47.69M
7AMAZON.COM INC0.15%$45.98M
8PFIZER INVESTMENT ENTER0.15%$45.33M
9META PLATFORMS INC0.15%$44.76M
10GOLDMAN SACHS GROUP INC0.15%$44.10M
11BOEING CO0.14%$41.71M
12AMAZON.COM INC0.14%$40.53M
13BANK OF AMERICA CORP0.14%$40.49M
14BANK OF AMERICA CORP0.13%$38.71M
15AT&T INC0.13%$38.65M
16AT&T INC0.13%$38.60M
17ABBVIE INC0.13%$38.56M
18ORACLE CORP0.13%$38.31M
19AMAZON.COM INC0.13%$37.33M
20WELLS FARGO & COMPANY0.12%$36.40M
21PFIZER INVESTMENT ENTER0.12%$36.34M
22BANK OF AMERICA CORP0.12%$35.99M
23ANHEUSER-BUSCH CO/INBEV0.12%$35.22M
24CVS HEALTH CORP0.12%$35.22M
25BANK OF AMERICA CORP0.12%$35.18M
26BANK OF AMERICA CORP0.12%$35.11M
27ORACLE CORP0.12%$34.79M
28WELLS FARGO & COMPANY0.11%$34.00M
29JPMORGAN CHASE & CO0.11%$33.85M
30ABBVIE INC0.11%$33.78M
31META PLATFORMS INC0.11%$32.69M
32ALPHABET INC0.11%$32.67M
33WELLS FARGO & COMPANY0.11%$32.58M
34AMGEN INC0.11%$32.50M
35JPMORGAN CHASE & CO0.11%$32.17M
36BANK OF AMERICA CORP0.11%$32.11M
37ABBOTT LABORATORIES0.11%$31.96M
38AT&T INC0.11%$31.85M
39SALESFORCE INC0.11%$31.76M
40AMAZON.COM INC0.11%$31.73M
41AT&T INC0.11%$31.60M
42BANK OF AMERICA CORP0.11%$31.37M
43WELLS FARGO & COMPANY0.10%$31.08M
44GOLDMAN SACHS GROUP INC0.10%$30.90M
45META PLATFORMS INC0.10%$30.89M
46GOLDMAN SACHS GROUP INC0.10%$30.61M
47MORGAN STANLEY0.10%$30.48M
48JPMORGAN CHASE & CO0.10%$29.95M
49AMGEN INC0.10%$29.83M
50MICROSOFT CORP0.10%$29.83M
51PFIZER INVESTMENT ENTER0.10%$29.74M
52ANHEUSER-BUSCH INBEV WOR0.10%$29.73M
53MORGAN STANLEY0.10%$29.63M
54META PLATFORMS INC0.10%$29.53M
55MORGAN STANLEY0.10%$29.22M
56BANK OF AMERICA CORP0.10%$29.13M
57ALPHABET INC0.10%$28.95M
58ORACLE CORP0.10%$28.85M
59JPMORGAN CHASE & CO0.10%$28.79M
60META PLATFORMS INC0.10%$28.53M
61META PLATFORMS INC0.10%$28.37M
62JPMORGAN CHASE & CO0.10%$28.35M
63GOLDMAN SACHS GROUP INC0.09%$28.06M
64ABBOTT LABORATORIES0.09%$28.05M
65SALESFORCE INC0.09%$27.75M
66ALPHABET INC0.09%$27.66M
67MICROSOFT CORP0.09%$27.55M
68WELLS FARGO & COMPANY0.09%$27.37M
69ALPHABET INC0.09%$27.26M
70ABBVIE INC0.09%$27.16M
71WELLS FARGO & COMPANY0.09%$27.03M
72AERCAP IRELAND CAP/GLOBA0.09%$27.02M
73VERIZON COMMUNICATIONS0.09%$26.99M
74BANK OF AMERICA CORP0.09%$26.89M
75BANK OF AMERICA CORP0.09%$26.85M
76JPMORGAN CHASE & CO0.09%$26.71M
77BANK OF AMERICA CORP0.09%$26.57M
78BOEING CO0.09%$26.53M
79BANK OF AMERICA CORP0.09%$26.50M
80MORGAN STANLEY0.09%$26.07M
81GOLDMAN SACHS GROUP INC0.09%$26.06M
82JPMORGAN CHASE & CO0.09%$25.97M
83HONEYWELL AEROSPACE INC0.09%$25.96M
84VERIZON COMMUNICATIONS0.09%$25.91M
85MORGAN STANLEY0.09%$25.86M
86VERIZON COMMUNICATIONS0.09%$25.81M
87GOLDMAN SACHS GROUP INC0.09%$25.81M
88SALESFORCE INC0.09%$25.76M
89CITIGROUP INC0.09%$25.74M
90COMCAST CORP0.09%$25.61M
91WELLS FARGO & COMPANY0.09%$25.61M
92AMAZON.COM INC0.09%$25.50M
93GOLDMAN SACHS GROUP INC0.09%$25.39M
94ORACLE CORP0.09%$25.32M
95HONEYWELL AEROSPACE INC0.08%$25.31M
96JPMORGAN CHASE & CO0.08%$25.28M
97MORGAN STANLEY0.08%$25.18M
98META PLATFORMS INC0.08%$25.14M
99JPMORGAN CHASE & CO0.08%$25.12M
100AT&T INC0.08%$24.97M
101JPMORGAN CHASE & CO0.08%$24.79M
102JPMORGAN CHASE & CO0.08%$24.71M
103AMAZON.COM INC0.08%$24.70M
104BANK OF AMERICA CORP0.08%$24.65M
105MORGAN STANLEY0.08%$24.45M
106JPMORGAN CHASE & CO0.08%$24.39M
107MORGAN STANLEY0.08%$24.31M
108BOEING CO0.08%$24.08M
109MORGAN STANLEY0.08%$24.03M
110MORGAN STANLEY0.08%$24.01M
111AMAZON.COM INC0.08%$23.99M
112MORGAN STANLEY0.08%$23.94M
113RTX CORP0.08%$23.87M
114GOLDMAN SACHS GROUP INC0.08%$23.86M
115HOME DEPOT INC0.08%$23.85M
116JPMORGAN CHASE & CO0.08%$23.85M
117BRISTOL-MYERS SQUIBB CO0.08%$23.69M
118META PLATFORMS INC0.08%$23.42M
119GOLDMAN SACHS GROUP INC0.08%$23.36M
120ORACLE CORP0.08%$23.31M
121AMGEN INC0.08%$23.26M
122CHARTER COMM OPT LLC/CAP0.08%$23.25M
123ALPHABET INC0.08%$23.22M
124JPMORGAN CHASE & CO0.08%$23.21M
125WELLS FARGO & COMPANY0.08%$23.17M
126CITIGROUP INC0.08%$23.15M
127ASTRAZENECA PLC0.08%$23.11M
128GOLDMAN SACHS GROUP INC0.08%$23.04M
129ORACLE CORP0.08%$23.01M
130JPMORGAN CHASE & CO0.08%$22.95M
131WELLS FARGO & COMPANY0.08%$22.91M
132MORGAN STANLEY0.08%$22.87M
133HSBC HOLDINGS PLC0.08%$22.84M
134GOLDMAN SACHS GROUP INC0.08%$22.76M
135META PLATFORMS INC0.08%$22.65M
136ABBVIE INC0.08%$22.64M
137WELLS FARGO & COMPANY0.08%$22.54M
138VERIZON COMMUNICATIONS0.08%$22.49M
139JPMORGAN CHASE & CO0.08%$22.44M
140CITIGROUP INC0.08%$22.41M
141MORGAN STANLEY0.07%$22.33M
142MORGAN STANLEY0.07%$22.28M
143APPLE INC0.07%$22.26M
144GOLDMAN SACHS GROUP INC0.07%$22.17M
145GOLDMAN SACHS GROUP INC0.07%$22.14M
146JPMORGAN CHASE & CO0.07%$22.14M
147BROADCOM INC0.07%$22.11M
148ABBVIE INC0.07%$22.10M
149VERIZON COMMUNICATIONS0.07%$22.04M
150ABBVIE INC0.07%$22.02M
LQD stock page →ETF holdings →Sector heatmap →

ETF holdings

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SEC Form N-PORT data · Reported quarterly, filed with a lag · For reference only · Not investment advice