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iShares 20+ Year Treasury Bond ETF

Name Holding Trade Value Shares
Change
Change in
Stake
Bank of America
1
Bank of America
North Carolina
$7.33B -$2.15B -24,459,574 -22%
Northwestern Mutual Wealth Management
2
Northwestern Mutual Wealth Management
Wisconsin
$3.85B +$109M +1,240,256 +3%
BlackRock
3
BlackRock
New York
$2.36B +$197M +2,237,614 +9%
Rafferty Asset Management
4
Rafferty Asset Management
New York
$2B -$647M -7,358,583 -24%
Bank of Montreal
5
Bank of Montreal
Ontario, Canada
$1.36B +$428M +4,872,247 +45%
UBS Group
6
UBS Group
Switzerland
$1.31B -$83.3M -947,128 -6%
Citigroup
7
Citigroup
New York
$1.29B -$867M -9,860,088 -40%
Morgan Stanley
8
Morgan Stanley
New York
$968M -$705M -8,022,614 -42%
Susquehanna International Group
9
Susquehanna International Group
Pennsylvania
$483M +$104M +1,180,540 +27%
LPL Financial
10
LPL Financial
California
$451M +$43.3M +492,756 +10%
Wells Fargo
11
Wells Fargo
California
$413M +$27.4M +311,510 +7%
Envestnet Asset Management
12
Envestnet Asset Management
Illinois
$407M +$67.9M +772,585 +20%
Barclays
13
Barclays
United Kingdom
$337M -$381M -4,337,674 -53%
JP Morgan Chase
14
JP Morgan Chase
New York
$303M -$484M -5,509,450 -61%
Mackenzie Financial
15
Mackenzie Financial
Ontario, Canada
$277M -$30.3M -345,000 -10%
AllianceBernstein
16
AllianceBernstein
Tennessee
$263M +$15.1M +172,169 +6%
Ameriprise
17
Ameriprise
Minnesota
$258M +$31.4M +357,257 +14%
Raymond James Financial
18
Raymond James Financial
Florida
$240M +$36.1M +410,277 +17%
BHCM
19
Brevan Howard Capital Management
Jersey
$238M +$228M +2,590,000 +1,619%
HPG
20
Harvest Portfolios Group
Ontario, Canada
$238M -$33M -375,715 -12%
Goldman Sachs
21
Goldman Sachs
New York
$230M +$114M +1,292,687 +95%
BNP Paribas Financial Markets
22
BNP Paribas Financial Markets
France
$206M +$142M +1,609,961 +211%
Stifel Financial
23
Stifel Financial
Missouri
$200M +$77.8M +884,808 +62%
HFS
24
Hantz Financial Services
Michigan
$183M -$64.7M -736,345 -26%
Mirae Asset Global Investments
25
Mirae Asset Global Investments
South Korea
$179M -$38.4M -436,548 -17%