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iShares Lehman Aggregate Bond shares owned by Interactive Financial Advisors

Quarter-by-quarter ownership of iShares Lehman Aggregate Bond (AGG) shares owned by Interactive Financial Advisors from 13F filings

Historical chart of Interactive Financial Advisors investment in iShares Lehman Aggregate Bond

Tip: Access up to 7 years of quarterly data

All positions including iShares Lehman Aggregate Bond held by Interactive Financial Advisors consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in iShares Lehman Aggregate Bond by Interactive Financial Advisors

Quarter filed Position value Share count Share price at filing
2023-12-31 $222k 1.5k 149.16
2023-09-30 $9.8M 104k 94.04
2023-06-30 $11M 108k 97.95
2023-03-31 $14M 138k 99.64
2022-12-31 $13M 133k 96.99
2022-09-30 $13M 132k 96.34
2022-06-30 $14M 134k 102.63
2022-03-31 $867k 14k 64.21
2021-12-31 $16M 137k 114.08
2021-09-30 $16M 135k 114.83
2021-06-30 $15M 131k 115.33
2021-03-31 $15M 135k 113.83
2020-12-31 $16M 131k 118.94
2020-09-30 $16M 133k 118.06
2020-06-30 $16M 137k 118.21
2020-03-31 $16M 140k 115.37
2019-12-31 $16M 138k 112.37
2019-09-30 $16M 137k 113.17
2019-06-30 $15M 138k 111.35
2019-03-31 $15M 138k 109.07
2018-12-31 $14M 135k 106.49
2018-09-30 $15M 138k 105.52
2018-06-30 $15M 137k 106.32
2018-03-31 $15M 141k 107.25
2017-12-31 $17M 157k 109.33
2017-09-30 $17M 154k 109.59
2017-06-30 $17M 151k 109.51
2017-03-31 $16M 148k 108.49
2016-12-31 $16M 147k 108.06
2016-09-30 $17M 148k 112.42
2016-06-30 $16M 146k 112.61
2016-03-31 $16M 146k 110.83
2015-12-31 $16M 150k 108.01
2015-09-30 $17M 153k 109.58
2015-06-30 $18M 161k 108.78
2015-03-31 $20M 176k 111.43
2014-12-31 $21M 193k 110.12
2014-09-30 $22M 202k 109.11
2014-06-30 $22M 202k 109.40
2014-03-31 $21M 192k 107.91
2013-12-31 $20M 191k 106.43
2013-09-30 $20M 189k 107.20
2013-06-30 $23M 218k 107.21
2013-03-31 $25M 222k 110.73
2012-12-31 $26M 234k 111.08
2012-09-30 $29M 257k 112.45
2012-06-30 $28M 254k 111.30
2012-03-31 $28M 252k 109.85
2011-09-30 $29B 259k 110110.00
2011-06-30 $30B 278k 106670.00
2011-03-31 $31B 294k 105130.00