We are live on ! Find out more
EMB icon

iShares JPMorgan USD Emerging Markets Bond ETF

Name Holding Trade Value Shares
Change
Change in
Stake
JP Morgan Chase
1
JP Morgan Chase
New York
$1.22B +$461M +4,014,652 +60%
Wells Fargo
2
Wells Fargo
California
$655M +$26.4M +230,215 +4%
BlackRock
3
BlackRock
New York
$626M +$82.7M +720,402 +15%
WIM
4
Windhaven Investment Management
Massachusetts
$576M -$46.5M -405,317 -7%
Morgan Stanley
5
Morgan Stanley
New York
$283M +$35.6M +309,896 +14%
TAIM
6
TD Ameritrade Investment Management
Nebraska
$248M +$40.9M +356,039 +20%
Envestnet Asset Management
7
Envestnet Asset Management
Illinois
$230M +$37.3M +324,949 +19%
CI Investments Inc
8
CI Investments Inc
Ontario, Canada
$216M +$214M +1,866,154 +8,929%
UBS Group
9
UBS Group
Switzerland
$199M +$14.1M +123,146 +8%
FTUS
10
Flow Traders U.S.
New York
$198M +$120M +1,044,876 +153%
DCM
11
Discovery Capital Management
Connecticut
$166M +$167M +1,450,000 New
Betterment LLC
12
Betterment LLC
New York
$162M +$63.9M +556,253 +65%
Susquehanna International Group
13
Susquehanna International Group
Pennsylvania
$159M +$155M +1,347,915 +3,370%
Bank of Nova Scotia
14
Bank of Nova Scotia
Ontario, Canada
$157M +$89.7M +781,204 +131%
Royal Bank of Canada
15
Royal Bank of Canada
Ontario, Canada
$155M -$50.4M -438,603 -24%
Bank of America
16
Bank of America
North Carolina
$150M +$13.2M +114,775 +10%
AB
17
Aozora Bank
Japan
$140M +$99.8M +869,000 +245%
Allianz Asset Management
18
Allianz Asset Management
Germany
$133M +$21M +183,095 +19%
Citigroup
19
Citigroup
New York
$130M +$4.76M +41,466 +4%
Neuberger Berman Group
20
Neuberger Berman Group
New York
$126M +$88.3M +769,125 +233%
D.E. Shaw & Co
21
D.E. Shaw & Co
New York
$120M +$15.8M +138,000 +15%
Goldman Sachs
22
Goldman Sachs
New York
$110M +$105M +911,996 +1,876%
DILIC
23
Dai-ichi Life Insurance Company
Japan
$106M +$107M +930,000 New
AHSSHC
24
Adventist Health System Sunbelt Healthcare Corp
Florida
$102M +$102M +888,950 New
Wellington Management Group
25
Wellington Management Group
Massachusetts
$100M -$102M -886,000 -50%