NYSE Arca · ETF

ISHARES TR LQD

The iShares iBoxx $ Investment Grade Corporate Bond ETF (LQD) is an exchange-traded fund that is based on the iBoxx USD Liquid Investment Grade index. The fund tracks a market-weighted index of US corporate investment-grade bonds across the maturity spectrum. LQD was launched on Jul 22, 2002 and is issued by BlackRock.

Credit ETF

Company profile

Business mix

  • The fund tracks a market-weighted index of US corporate investment-grade bonds across the maturity spectrum.
  • LQD was launched on Jul 22, 2002 and is issued by BlackRock.
  • The fund gives investors fixed income / corporate bond exposure through a listed ETF structure.
  • It tracks the iBoxx USD Liquid Investment Grade Index and is issued by BlackRock.
  • Portfolio breadth and cost are visible in 3127 holdings and a 0.14% expense ratio.

Current key questions

  • Does the fund's index exposure, fees, liquidity, and tracking quality fit the role investors expect it to play?
  • How concentrated is the portfolio by issuer, sector, country, factor, or duration risk?
  • Can flows, spreads, and market structure affect trading costs during volatile periods?
Holders 1 Current sample portfolio
Public mentions 0 Videos / interviews / letters

Current firm holders

Firm Weight Value Filing period
Bridgewater Associates Ray Dalio 0.5% $111.4M 2026-03-31

Recent trading changes over the last 4 quarters

Net buyers 0 Last 4 13F filing periods
Net reducers 1 Last 4 13F filing periods
Unchanged holders 0 Share count unchanged
Increase amount $0 Estimated from net added shares
Reduction amount $261,576 Estimated from net reduced shares
Net share change / base shares -0.2% -2,400 / 1,024,100
Bridgewater Associates Ray Dalio 4 filing periods
13F 2025-06-30 Filed 2025-08-13
Minor increase Shares 1.1% 13F value change +$2.2M
13F 2025-09-30 Filed 2025-11-13
Minor reduction Shares -7.0% 13F value change -$6.2M
13F 2025-12-31 Filed 2026-02-13
Minor increase Shares 3.8% 13F value change +$2.8M
13F 2026-03-31 Filed 2026-05-15
Minor increase Shares 2.2% 13F value change +$1.2M
Settlement As of 13F 2026-03-31 · Filed 2026-05-15
Base shares 1,024,100 Last 4 periods -2,400 (-0.2%) Total shares 1,021,700 Value $111.4M

Recent mentions

No public mentions.