BIT

BlackRock Institutional Trust Portfolio holdings

AUM $675B
1-Year Return 16.07%
This Quarter Return
+4.97%
1 Year Return
+16.07%
3 Year Return
+37.69%
5 Year Return
10 Year Return
AUM
$675B
AUM Growth
+$32.8B
Cap. Flow
+$11.2B
Cap. Flow %
1.66%
Top 10 Hldgs %
13.99%
Holding
3,966
New
84
Increased
2,452
Reduced
817
Closed
123

Sector Composition

1 Financials 15.93%
2 Technology 14.14%
3 Healthcare 12.77%
4 Industrials 10.49%
5 Consumer Discretionary 9.19%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ENTL
3001
DELISTED
Entellus Medical, Inc. Common Stock
ENTL
$2.27M ﹤0.01%
119,847
+11,522
+11% +$219K
CHFN
3002
DELISTED
Charter Financial Corp
CHFN
$2.27M ﹤0.01%
136,092
EXA
3003
DELISTED
EXA Corporation
EXA
$2.27M ﹤0.01%
147,696
-5,340
-3% -$82K
IWN icon
3004
iShares Russell 2000 Value ETF
IWN
$12B
$2.26M ﹤0.01%
18,989
-2,643
-12% -$314K
MCBC
3005
DELISTED
Macatawa Bank Corp
MCBC
$2.26M ﹤0.01%
216,782
+9,489
+5% +$98.8K
MLNX
3006
DELISTED
Mellanox Technologies, Ltd.
MLNX
$2.26M ﹤0.01%
55,160
-132,688
-71% -$5.43M
CLS icon
3007
Celestica
CLS
$28.3B
$2.25M ﹤0.01%
+189,823
New +$2.25M
MBTF
3008
DELISTED
MBT Financial Corporation
MBTF
$2.25M ﹤0.01%
198,005
-45,508
-19% -$516K
CTMX icon
3009
CytomX Therapeutics
CTMX
$345M
$2.24M ﹤0.01%
203,920
+31,032
+18% +$341K
CCUR
3010
DELISTED
CCUR Holdings, Inc. Common Stock
CCUR
$2.24M ﹤0.01%
418,322
IMUX icon
3011
Immunic
IMUX
$84.1M
$2.24M ﹤0.01%
12,859
OPCH icon
3012
Option Care Health
OPCH
$4.77B
$2.22M ﹤0.01%
533,870
BFYT
3013
DELISTED
Benefytt Technologies, Inc. Class A Common Stock
BFYT
$2.22M ﹤0.01%
+124,344
New +$2.22M
GIC icon
3014
Global Industrial
GIC
$1.47B
$2.22M ﹤0.01%
252,833
NOAH
3015
Noah Holdings
NOAH
$793M
$2.2M ﹤0.01%
100,174
+14,948
+18% +$328K
VVUS
3016
DELISTED
Vivus Inc
VVUS
$2.2M ﹤0.01%
190,951
XBIT icon
3017
XBiotech
XBIT
$86M
$2.19M ﹤0.01%
216,051
+834
+0.4% +$8.44K
NGVC icon
3018
Vitamin Cottage Natural Grocers
NGVC
$872M
$2.17M ﹤0.01%
182,792
CBMG
3019
DELISTED
Cellular Biomedicine Group, Inc.
CBMG
$2.17M ﹤0.01%
165,541
PHG icon
3020
Philips
PHG
$27.2B
$2.16M ﹤0.01%
+91,940
New +$2.16M
TRP icon
3021
TC Energy
TRP
$54.2B
$2.16M ﹤0.01%
47,738
+46,887
+5,510% +$2.12M
ISRL
3022
DELISTED
Isramco Inc
ISRL
$2.15M ﹤0.01%
17,304
+195
+1% +$24.2K
VNCE icon
3023
Vince Holding
VNCE
$40.3M
$2.14M ﹤0.01%
52,935
+676
+1% +$27.4K
INDT
3024
DELISTED
INDUS Realty Trust, Inc. (MD) Common Stock
INDT
$2.14M ﹤0.01%
67,387
APPF icon
3025
AppFolio
APPF
$10.1B
$2.13M ﹤0.01%
89,261
+2,744
+3% +$65.4K