ETF constituents for FALN

Below, a list of constituents for FALN (iShares Fallen Angels USD Bond ETF) is shown. In total, FALN consists of 189 securities.

Note: The data shown here is as of date May 15, 2024 (the latest that can be sourced directly from the fund provider).

Click here to go back to the full list of ETFs.

Name Sector Asset Class Market Value Weight (%) ISIN Duration Maturity Coupon (%)
VODAFONE GROUP PLC Communications Fixed Income 50613572.68 2.97 US92857WBQ24 3.94 Apr 04, 2079 7.0
WESTERN DIGITAL CORPORATION Technology Fixed Income 42868988.15 2.51 US958102AM75 1.6 Feb 15, 2026 4.75
NEWELL BRANDS INC Consumer Non-Cyclical Fixed Income 34226844.86 2.01 US651229AW64 1.65 Apr 01, 2026 5.7
UNICREDIT SPA 144A Banking Fixed Income 28850144.13 1.69 US904678AQ20 4.07 Apr 02, 2034 7.3
DRESDNER FUNDING TRUST I 144A Banking Fixed Income 28738414.09 1.69 US26156FAA12 4.45 Jun 30, 2031 8.15
RESORTS WORLD LAS VEGAS LLC RegS Consumer Cyclical Fixed Income 23642219.34 1.39 USU76198AA52 4.29 Apr 16, 2029 4.63
UNICREDIT SPA MTN 144A Banking Fixed Income 22270408.06 1.31 US904678AF64 2.72 Jun 19, 2032 5.86
EQM MIDSTREAM PARTNERS LP Energy Fixed Income 22097166.08 1.3 US26885BAC46 3.55 Jul 15, 2028 5.5
ROGERS COMMUNICATIONS INC 144A Communications Fixed Income 19121107.56 1.12 US775109BS95 2.5 Mar 15, 2082 5.25
TOPAZ SOLAR FARMS LLC 144A Electric Fixed Income 18943080.55 1.11 US89054XAC92 5.87 Sep 30, 2039 5.75
PERRIGO FINANCE UNLIMITED CO Consumer Non-Cyclical Fixed Income 18524646.78 1.09 US71429MAC91 5.08 Jun 15, 2030 4.65
NORDSTROM INC Consumer Cyclical Fixed Income 18350759.7 1.08 US655664AR15 11.32 Jan 15, 2044 5.0
METHANEX CORPORATION Basic Industry Fixed Income 18131184.69 1.06 US59151KAL26 4.63 Dec 15, 2029 5.25
PERRIGO FINANCE UNLIMITED CO Consumer Non-Cyclical Fixed Income 17660096.53 1.04 US71429MAB19 1.69 Mar 15, 2026 4.38
WALGREENS BOOTS ALLIANCE INC Consumer Cyclical Fixed Income 17480306.92 1.03 US931427AQ19 1.9 Jun 01, 2026 3.45
SPIRIT AEROSYSTEMS INC Capital Goods Fixed Income 17026212.45 1.0 US85205TAK60 3.57 Jun 15, 2028 4.6
ZF NORTH AMERICA CAPITAL INC 144A Consumer Cyclical Fixed Income 16775246.71 0.98 US98877DAC92 0.92 Apr 29, 2025 4.75
UNITED RENTALS (NORTH AMERICA) INC Capital Goods Fixed Income 16701126.49 0.98 US911365BM59 3.17 Nov 15, 2027 3.88
BUCKEYE PARTNERS LP Energy Fixed Income 15313739.15 0.9 US118230AQ44 2.31 Dec 01, 2026 3.95
UNITED STATES CELLULAR CORPORATION Communications Fixed Income 15306643.92 0.9 US911684AD06 6.93 Dec 15, 2033 6.7
BOMBARDIER INC 144A Capital Goods Fixed Income 15003972.85 0.88 US097751AL51 7.21 May 01, 2034 7.45
EQM MIDSTREAM PARTNERS LP Energy Fixed Income 14923026.52 0.88 US26885BAE02 11.84 Jul 15, 2048 6.5
EMBARQ LLC Communications Fixed Income 14411992.24 0.85 US29078EAA38 4.4 Jun 01, 2036 8.0
FLUOR CORPORATION Industrial Other Fixed Income 14263722.15 0.84 US343412AF90 3.83 Sep 15, 2028 4.25
WESTERN ALLIANCE BANCORP Banking Fixed Income 14124067.04 0.83 US957638AD14 1.95 Jun 15, 2031 3.0
UNDER ARMOUR INC Consumer Cyclical Fixed Income 13842657.87 0.81 US904311AA54 1.94 Jun 15, 2026 3.25
TRANSOCEAN INC Energy Fixed Income 13487592.51 0.79 US893830AT68 8.39 Mar 15, 2038 6.8
ROCKIES EXPRESS PIPELINE LLC 144A Energy Fixed Income 13395439.05 0.79 US77340RAR84 4.38 Jul 15, 2029 4.95
SEAGATE HDD CAYMAN Technology Fixed Income 13251565.0 0.78 US81180WAR25 2.65 Jun 01, 2027 4.88
ALCOA NEDERLAND HOLDING BV 144A Basic Industry Fixed Income 13242123.02 0.78 US013822AG68 3.81 Mar 31, 2029 4.13
SEAGATE HDD CAYMAN Technology Fixed Income 13228968.74 0.78 US81180WAN11 7.53 Dec 01, 2034 5.75
NAVIENT CORP MTN Finance Companies Fixed Income 13227541.43 0.78 US78442FAZ18 6.81 Aug 01, 2033 5.63
QVC INC Consumer Cyclical Fixed Income 13151726.61 0.77 US747262AY90 2.52 Feb 15, 2027 4.75
SEALED AIR CORPORATION 144A Capital Goods Fixed Income 12782257.14 0.75 US81211KAK60 6.71 Jul 15, 2033 6.88
TELECOM ITALIA CAPITAL SA Communications Fixed Income 12773957.65 0.75 US87927VAV09 8.22 Jun 04, 2038 7.72
EQM MIDSTREAM PARTNERS LP Energy Fixed Income 12584360.07 0.74 US26885BAB62 2.28 Dec 01, 2026 4.13
ROCKIES EXPRESS PIPELINE LLC 144A Energy Fixed Income 12393825.47 0.73 US77340RAM97 9.52 Apr 15, 2040 6.88
ADVANCE AUTO PARTS INC Consumer Cyclical Fixed Income 12375054.54 0.73 US00751YAE68 5.14 Apr 15, 2030 3.9
SEAGATE HDD CAYMAN Technology Fixed Income 12255999.93 0.72 US81180WBC47 4.36 Jun 01, 2029 4.09
TELECOM ITALIA CAPITAL SA Communications Fixed Income 12226601.8 0.72 US87927VAR96 7.83 Jul 18, 2036 7.2
ALCOA NEDERLAND HOLDING BV 144A Basic Industry Fixed Income 12111564.69 0.71 US013822AC54 1.9 May 15, 2028 6.13
LIBERTY MUTUAL GROUP INC 144A Insurance Fixed Income 11958185.85 0.7 US53079EAN40 8.18 Mar 15, 2037 7.8
GENTING NEW YORK LLC 144A Consumer Cyclical Fixed Income 11915102.54 0.7 US37255JAA07 1.67 Feb 15, 2026 3.3
ROYAL CARIBBEAN CRUISES LTD Consumer Cyclical Fixed Income 11800478.32 0.69 US780153AW20 3.46 Mar 15, 2028 3.7
ROLLS-ROYCE PLC 144A Capital Goods Fixed Income 11656156.29 0.68 US77578JAB44 1.35 Oct 14, 2025 3.63
TELECOM ITALIA CAPITAL SA Communications Fixed Income 11577451.16 0.68 US87927VAF58 6.99 Nov 15, 2033 6.38
OHIO NATIONAL FINANCIAL SERVICES I 144A Insurance Fixed Income 11485159.24 0.67 US67740QAH92 4.54 Jan 24, 2030 6.8
STEELCASE INC. Industrial Other Fixed Income 11362621.4 0.67 US858155AE40 3.99 Jan 18, 2029 5.13
KOHLS CORP Consumer Cyclical Fixed Income 11252148.24 0.66 US500255AX28 5.78 May 01, 2031 4.63
WALGREENS BOOTS ALLIANCE INC Consumer Cyclical Fixed Income 11109658.81 0.65 US931427AC23 11.82 Nov 18, 2044 4.8
TELECOM ITALIA CAPITAL SA Communications Fixed Income 11079836.42 0.65 US87927VAM00 7.45 Sep 30, 2034 6.0
HUDSON PACIFIC PROPERTIES LP Reits Fixed Income 11045908.25 0.65 US44409MAB28 4.25 Apr 01, 2029 4.65
DIVERSIFIED HEALTHCARE TRUST Reits Fixed Income 11014169.59 0.65 US81721MAM10 3.33 Feb 15, 2028 4.75
DELTA AIR LINES INC Transportation Fixed Income 11007861.03 0.65 US247361ZT81 4.8 Oct 28, 2029 3.75
BUCKEYE PARTNERS LP Energy Fixed Income 11005306.88 0.65 US118230AR27 3.15 Dec 01, 2027 4.13
BRANDYWINE OPERATING PARTNERSHIP L Reits Fixed Income 10951365.34 0.64 US105340AQ63 3.21 Nov 15, 2027 3.95
LEVEL 3 FINANCING INC 144A Communications Fixed Income 10505025.0 0.62 US527298BZ50 4.25 Dec 15, 2030 10.75
NORDSTROM INC Consumer Cyclical Fixed Income 10434603.31 0.61 US655664AT70 5.03 Apr 01, 2030 4.38
SERVICE PROPERTIES TRUST Reits Fixed Income 10076032.81 0.59 US44106MBA99 2.21 Oct 01, 2026 4.75
TRAVEL + LEISURE CO Consumer Cyclical Fixed Income 9978108.0 0.59 US98310WAN83 2.48 Apr 01, 2027 6.0
VORNADO REALTY LP Reits Fixed Income 9968229.91 0.58 US929043AK39 1.94 Jun 01, 2026 2.15
NEWELL BRANDS INC Consumer Non-Cyclical Fixed Income 9951457.18 0.58 US651229AY21 10.59 Apr 01, 2046 7.0
TENET HEALTHCARE CORPORATION Consumer Non-Cyclical Fixed Income 9925183.79 0.58 US88033GAV23 5.91 Nov 15, 2031 6.88
TRANSOCEAN INC Energy Fixed Income 9803539.21 0.57 US893830AF64 5.32 Apr 15, 2031 7.5
BUCKEYE PARTNERS LP Energy Fixed Income 9619714.78 0.56 US118230AM30 10.87 Nov 15, 2043 5.85
BANC OF CALIFORNIA MTN Banking Fixed Income 9558376.56 0.56 US69506YSC48 1.87 May 01, 2031 3.25
BRANDYWINE OPERATING PARTNERSHIP L Reits Fixed Income 9507731.69 0.56 US105340AR47 3.27 Mar 15, 2028 8.05
HUDSON PACIFIC PROPERTIES LP Reits Fixed Income 9385610.35 0.55 US44409MAA45 3.18 Nov 01, 2027 3.95
HILLENBRAND INC Industrial Other Fixed Income 9133886.21 0.54 US431571AB45 2.11 Sep 15, 2026 5.0
CROWN CORK & SEAL CO INC Capital Goods Fixed Income 9074105.17 0.53 US228255AH83 2.29 Dec 15, 2026 7.38
DELTA AIR LINES INC Transportation Fixed Income 9035485.86 0.53 US247361ZN12 3.49 Apr 19, 2028 4.38
YUM! BRANDS INC. Consumer Cyclical Fixed Income 9032182.08 0.53 US988498AD34 9.02 Nov 15, 2037 6.88
NORDSTROM INC Consumer Cyclical Fixed Income 8901936.56 0.52 US655664AY65 5.98 Aug 01, 2031 4.25
SERVICE PROPERTIES TRUST Reits Fixed Income 8831375.73 0.52 US44106MAW29 2.51 Feb 15, 2027 4.95
WALGREENS BOOTS ALLIANCE INC Consumer Cyclical Fixed Income 8649455.61 0.51 US931427AT57 13.95 Apr 15, 2050 4.1
MACYS RETAIL HOLDINGS LLC Consumer Cyclical Fixed Income 8586039.3 0.5 US55616XAM92 7.95 Dec 15, 2034 4.5
XPO CNW INC Transportation Fixed Income 8565355.88 0.5 US12612WAB00 7.33 May 01, 2034 6.7
TOLEDO HOSPITAL Consumer Non-Cyclical Fixed Income 8540344.68 0.5 US889184AE73 11.55 Nov 15, 2048 6.01
TRAVEL + LEISURE CO Consumer Cyclical Fixed Income 8497125.38 0.5 US98310WAM01 1.11 Oct 01, 2025 6.6
HUDSON PACIFIC PROPERTIES LP Reits Fixed Income 8466792.37 0.5 US44409MAD83 3.28 Feb 15, 2028 5.95
MURPHY OIL CORPORATION Energy Fixed Income 8384973.6 0.49 US626717AG73 10.42 Dec 01, 2042 6.13
CRANE NXT CO Technology Fixed Income 8277348.95 0.49 US224399AT28 13.11 Mar 15, 2048 4.2
HOSPITALITY PROPERTIES TRUST Reits Fixed Income 8263943.85 0.48 US44106MAV46 1.61 Feb 15, 2026 5.25
SERVICE PROPERTIES TRUST Reits Fixed Income 8244592.7 0.48 US44106MBB72 4.58 Oct 01, 2029 4.95
SERVICE PROPERTIES TRUST Reits Fixed Income 8240610.04 0.48 US44106MAX02 3.31 Jan 15, 2028 3.95
ROCKIES EXPRESS PIPELINE LLC 144A Energy Fixed Income 8234533.61 0.48 US77340RAT41 5.09 May 15, 2030 4.8
ADVANCE AUTO PARTS INC Consumer Cyclical Fixed Income 8180291.96 0.48 US00751YAF34 3.21 Oct 01, 2027 1.75
MARKS AND SPENCER PLC 144A Consumer Cyclical Fixed Income 8163218.9 0.48 US57069PAA03 8.58 Dec 01, 2037 7.13
KOHLS CORP Consumer Cyclical Fixed Income 8143849.32 0.48 US500255AV61 10.4 Jul 17, 2045 5.55
FRONTIER FLORIDA LLC Communications Fixed Income 8143503.29 0.48 US362333AH94 3.2 Feb 01, 2028 6.86
BRANDYWINE OPERATING PARTNERSHIP L Reits Fixed Income 8142029.5 0.48 US105340AP80 4.64 Oct 01, 2029 4.55
HUDSON PACIFIC PROPERTIES LP Reits Fixed Income 8136942.41 0.48 US44409MAC01 4.96 Jan 15, 2030 3.25
ROYAL CARIBBEAN CRUISES LTD Consumer Cyclical Fixed Income 8101566.39 0.48 US780153AG79 3.0 Oct 15, 2027 7.5
TRANSALTA CORP Electric Fixed Income 7925050.48 0.46 US89346DAE76 9.7 Mar 15, 2040 6.5
RESORTS WORLD LAS VEGAS LLC 144A Consumer Cyclical Fixed Income 7899297.96 0.46 US76120HAC16 5.72 Apr 06, 2031 4.63
ADVANCE AUTO PARTS INC Consumer Cyclical Fixed Income 7830466.07 0.46 US00751YAJ55 3.33 Mar 09, 2028 5.95
BATH & BODY WORKS INC Consumer Cyclical Fixed Income 7812463.5 0.46 US532716AK37 6.49 Mar 01, 2033 6.95
ADVANCE AUTO PARTS INC Consumer Cyclical Fixed Income 7794754.05 0.46 US00751YAG17 6.61 Mar 15, 2032 3.5
TOLEDO HOSPITAL Consumer Non-Cyclical Fixed Income 7789575.2 0.46 US889184AC18 3.96 Nov 15, 2028 5.33
NORDSTROM INC Consumer Cyclical Fixed Income 7739166.73 0.45 US655664AS97 2.56 Mar 15, 2027 4.0
VORNADO REALTY LP Reits Fixed Income 7631324.19 0.45 US929043AL12 5.96 Jun 01, 2031 3.4
ROCKIES EXPRESS PIPELINE LLC 144A Energy Fixed Income 7571311.8 0.44 US77340RAS67 0.96 May 15, 2025 3.6
LIBERTY INTERACTIVE LLC Consumer Cyclical Fixed Income 7569035.9 0.44 US530715AJ01 4.0 Feb 01, 2030 8.25
UNITED STATES STEEL CORP Basic Industry Fixed Income 7550552.46 0.44 US912909AD03 8.47 Jun 01, 2037 6.65
XEROX CORPORATION Technology Fixed Income 7544695.59 0.44 US984121CB79 8.61 Dec 15, 2039 6.75
KOHLS CORP Consumer Cyclical Fixed Income 7469838.6 0.44 US500255AU88 1.09 Jul 17, 2025 4.25
SPIRIT AEROSYSTEMS INC Capital Goods Fixed Income 7400095.58 0.43 US85205TAG58 1.91 Jun 15, 2026 3.85
GENWORTH FINANCIAL INC Insurance Fixed Income 7387950.6 0.43 US37247DAB29 7.13 Jun 15, 2034 6.5
SAFEWAY INC Consumer Non-Cyclical Fixed Income 7326749.99 0.43 US786514BA67 5.28 Feb 01, 2031 7.25
SERVICE PROPERTIES TRUST Reits Fixed Income 7301847.5 0.43 US44106MAY84 4.87 Feb 15, 2030 4.38
ADVANCE AUTO PARTS INC Consumer Cyclical Fixed Income 7278501.89 0.43 US00751YAH99 1.69 Mar 09, 2026 5.9
NORDSTROM INC Consumer Cyclical Fixed Income 7187760.25 0.42 US655664AH33 3.32 Mar 15, 2028 6.95
METHANEX CORPORATION Basic Industry Fixed Income 7155873.23 0.42 US59151KAJ79 11.06 Dec 01, 2044 5.65
HB FULLER CO Basic Industry Fixed Income 7134118.33 0.42 US359694AB24 2.49 Feb 15, 2027 4.0
BRIGHTSPHERE INVESTMENT GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 7107839.43 0.42 US10948WAA18 2.03 Jul 27, 2026 4.8
USD CASH Cash and/or Derivatives Cash 7044846.63 0.41 nan 0.0 nan 0.0
QVC INC Consumer Cyclical Fixed Income 6969189.3 0.41 US747262AW35 7.07 Aug 15, 2034 5.45
NEWELL BRANDS INC Consumer Non-Cyclical Fixed Income 6778217.2 0.4 US651229AX48 8.01 Apr 01, 2036 6.88
ROCKIES EXPRESS PIPELINE LLC 144A Energy Fixed Income 6757359.74 0.4 US77340RAD98 8.65 Jul 15, 2038 7.5
PORT OF NEWCASTLE INVESTMENTS FINA 144A Transportation Fixed Income 6658860.18 0.39 US734865AA63 5.78 Nov 24, 2031 5.9
YUM! BRANDS INC. Consumer Cyclical Fixed Income 6647612.83 0.39 US988498AK76 11.69 Nov 01, 2043 5.35
GLOBAL MARINE INC. Energy Fixed Income 6639716.34 0.39 US379352AL15 3.39 Jun 01, 2028 7.0
BELO CORPORATION Communications Fixed Income 6626127.55 0.39 US080555AF20 2.93 Sep 15, 2027 7.25
SEAGATE HDD CAYMAN Technology Fixed Income 6604086.35 0.39 US81180WBD20 5.6 Jan 15, 2031 4.13
PERRIGO FINANCE UNLIMITED CO Consumer Non-Cyclical Fixed Income 6561065.57 0.38 US714295AA08 11.57 Dec 15, 2044 4.9
BUCKEYE PARTNERS LP Energy Fixed Income 6231264.87 0.37 US118230AP60 10.92 Oct 15, 2044 5.6
WALGREENS BOOTS ALLIANCE INC Consumer Cyclical Fixed Income 5972642.22 0.35 US931427AS74 5.24 Apr 15, 2030 3.2
OHIO NATIONAL FINANCIAL SERVICES I 144A Insurance Fixed Income 5884192.89 0.35 US67740QAG10 5.53 May 01, 2031 6.63
MACYS RETAIL HOLDINGS LLC Consumer Cyclical Fixed Income 5700143.31 0.33 US55616XAG25 10.73 Jan 15, 2042 5.13
BELO CORPORATION Communications Fixed Income 5673496.13 0.33 US080555AE54 2.62 Jun 01, 2027 7.75
PACTIV CORPORATION Capital Goods Fixed Income 5671632.83 0.33 US880394AB71 1.44 Dec 15, 2025 7.95
VALLEY NATIONAL BANCORP Banking Fixed Income 5529341.95 0.32 US919794AE70 1.73 Jun 15, 2031 3.0
BATH & BODY WORKS INC Consumer Cyclical Fixed Income 5500687.23 0.32 US532716AN75 8.11 Jul 15, 2037 7.6
CLEVELAND-CLIFFS INC Basic Industry Fixed Income 5484714.59 0.32 US18683KAC53 9.62 Oct 01, 2040 6.25
P & O PRINCESS CRUISES PLC Consumer Cyclical Fixed Income 5423088.0 0.32 US693070AD69 2.63 Jun 01, 2027 7.88
MACYS RETAIL HOLDINGS LLC Consumer Cyclical Fixed Income 5371870.39 0.32 US55616XAJ63 11.74 Feb 15, 2043 4.3
WESTERN ALLIANCE BANK Banking Fixed Income 5305210.76 0.31 US95763PEF45 0.99 Jun 01, 2030 5.25
CARNIVAL CORPORATION Consumer Cyclical Fixed Income 5220718.77 0.31 US143658AH53 3.18 Jan 15, 2028 6.65
MURPHY OIL CORPORATION Energy Fixed Income 5127094.12 0.3 US626717AA04 4.19 May 01, 2029 7.05
TOLEDO HOSPITAL THE Consumer Non-Cyclical Fixed Income 5052750.1 0.3 US889184AA51 11.4 Nov 15, 2045 4.98
QVC INC Consumer Cyclical Fixed Income 4907711.06 0.29 US747262AM52 8.91 Mar 15, 2043 5.95
FIRSTENERGY CORPORATION Electric Fixed Income 4858863.87 0.28 US337932AH00 2.83 Jul 15, 2027 4.15
XEROX CORPORATION Technology Fixed Income 4761999.95 0.28 US984121CL51 7.72 Mar 01, 2035 4.8
FRONTIER NORTH INC Communications Fixed Income 4733319.1 0.28 US362337AK38 3.24 Feb 15, 2028 6.73
QWEST CORP Communications Fixed Income 4667532.96 0.27 US912920AK17 1.25 Sep 15, 2025 7.25
MACYS INC Consumer Cyclical Fixed Income 4663714.05 0.27 US314275AC25 8.48 Mar 15, 2037 6.38
TRANSOCEAN INC Energy Fixed Income 4508480.88 0.26 US893830AZ29 8.1 Dec 15, 2041 9.35
WILTON RE LTD 144A Insurance Fixed Income 4448113.94 0.26 US97263CAA99 2.79 Dec 31, 2079 6.0
WARNER MEDIA LLC Communications Fixed Income 4360414.81 0.26 US00184AAC99 5.4 Apr 15, 2031 7.63
FIRSTENERGY CORPORATION Electric Fixed Income 4344244.76 0.25 US337932AL12 5.21 Mar 01, 2030 2.65
LIBERTY INTERACTIVE LLC Consumer Cyclical Fixed Income 4305466.36 0.25 US530715AD31 3.7 Jul 15, 2029 8.5
MACYS RETAIL HOLDINGS LLC 144A Consumer Cyclical Fixed Income 4249499.06 0.25 US55617LAL62 6.97 Jul 15, 2034 6.7
LEVEL 3 FINANCING INC 144A Communications Fixed Income 4138512.38 0.24 US527298BV47 3.78 Nov 15, 2029 11.0
OFFICE PROPERTIES INCOME TRUST Reits Fixed Income 4126483.82 0.24 US67623CAF68 5.85 Oct 15, 2031 3.45
OFFICE PROPERTIES INCOME TRUST Reits Fixed Income 4103543.21 0.24 US67623CAD11 1.94 Jun 15, 2026 2.65
ENLINK MIDSTREAM PARTNERS LP Energy Fixed Income 4047471.73 0.24 US29336UAE73 0.99 Jun 01, 2025 4.15
ENLINK MIDSTREAM PARTNERS LP Energy Fixed Income 4036158.26 0.24 US29336UAF49 1.92 Jul 15, 2026 4.85
AMERICAN AIRLINES 2013-1 CLASS A P Transportation Fixed Income 4032366.7 0.24 US023772AB21 1.02 Jan 15, 2027 4.0
PACTIV CORPORATION Capital Goods Fixed Income 4030165.34 0.24 US880394AE11 2.58 Apr 15, 2027 8.38
LEVEL 3 FINANCING INC 144A Communications Fixed Income 4011958.05 0.24 US527298BX03 3.74 Apr 15, 2029 10.5
WALGREENS BOOTS ALLIANCE INC Consumer Cyclical Fixed Income 3844384.22 0.23 US931427AB40 7.9 Nov 18, 2034 4.5
OFFICE PROPERTIES INCOME TRUST Reits Fixed Income 3824017.08 0.22 US67623CAE93 2.5 Feb 01, 2027 2.4
GOODYEAR TIRE & RUBBER COMPANY (TH Consumer Cyclical Fixed Income 3743599.55 0.22 US382550AD35 3.32 Mar 15, 2028 7.0
PROVIDENT FINANCING TRUST I Insurance Fixed Income 3600409.19 0.21 US743863AA09 8.8 Mar 15, 2038 7.41
HAWAIIAN HOLDINGS INC PT 13-1A Transportation Fixed Income 3424582.05 0.2 US419838AA57 1.4 Jul 15, 2027 3.9
BLK CSH FND TREASURY SL AGENCY Cash and/or Derivatives Money Market 3370000.0 0.2 US0669224778 0.11 nan 5.34
FIRSTENERGY CORPORATION Electric Fixed Income 3339775.8 0.2 US337932AP26 5.7 Sep 01, 2030 2.25
ALLEGHENY LUDLUM LLC Basic Industry Fixed Income 3022268.61 0.18 US016900AC60 1.45 Dec 15, 2025 6.95
UNITED AIRLINES INC Transportation Fixed Income 2883035.91 0.17 US90932DAA37 3.47 Apr 07, 2030 3.1
WALGREEN CO Consumer Cyclical Fixed Income 2849093.6 0.17 US931422AK51 11.73 Sep 15, 2042 4.4
BUCKEYE PARTNERS L.P. Energy Fixed Income 2688353.57 0.16 US118230AC57 6.75 Aug 15, 2033 6.75
LAS VEGAS SANDS CORP Consumer Cyclical Fixed Income 2453450.99 0.14 US517834AE74 2.1 Aug 18, 2026 3.5
LAS VEGAS SANDS CORP Consumer Cyclical Fixed Income 2445960.99 0.14 US517834AH06 1.06 Jun 25, 2025 2.9
CRANE CO Technology Fixed Income 2166829.33 0.13 US224399AP06 8.58 Nov 15, 2036 6.55
LUMEN TECHNOLOGIES INC Communications Fixed Income 2127342.72 0.12 US156700AM80 4.77 Sep 15, 2039 7.6
FIRSTENERGY CORPORATION Electric Fixed Income 1886432.43 0.11 US337932AN77 1.61 Jan 15, 2026 1.6
LUMEN TECHNOLOGIES INC Communications Fixed Income 1799521.49 0.11 US156686AM96 2.83 Jan 15, 2028 6.88
LUMEN TECHNOLOGIES INC Communications Fixed Income 1581574.82 0.09 US156700AT34 4.35 Mar 15, 2042 7.65
ALCOA NEDERLAND HOLDING BV 144A Basic Industry Fixed Income 1557673.98 0.09 US013822AH42 4.0 Mar 15, 2031 7.13
HOSPITALITY PROPERTIES TRUST Reits Fixed Income 1248423.01 0.07 US44106MAT99 0.78 Mar 15, 2025 4.5
WALGREENS BOOTS ALLIANCE INC Consumer Cyclical Fixed Income 1140056.79 0.07 US931427AR91 12.38 Jun 01, 2046 4.65
QVC INC Consumer Cyclical Fixed Income 988204.87 0.06 US747262AU78 0.73 Feb 15, 2025 4.45
FIRSTENERGY CORPORATION Electric Fixed Income 975955.9 0.06 US337932AK39 0.77 Mar 01, 2025 2.05
LAS VEGAS SANDS CORP Consumer Cyclical Fixed Income 922914.7 0.05 US517834AF40 4.57 Aug 08, 2029 3.9
OFFICE PROPERTIES INCOME TRUST Reits Fixed Income 775634.55 0.05 US81618TAC45 0.69 Feb 01, 2025 4.5
ALCOA NEDERLAND HOLDING BV 144A Basic Industry Fixed Income 481719.82 0.03 US013822AE11 1.8 Dec 15, 2027 5.5
HOWMET AEROSPACE INC Capital Goods Fixed Income 374663.14 0.02 US022249AU09 3.19 Jan 15, 2028 6.75
SPIRIT AIRLINES CLASS A PASS THROU Transportation Fixed Income 37701.92 0.0 US84858DAA63 2.95 Oct 01, 2029 4.1
The content contained herein is owned or licensed by BlackRock and/or its third-party information providers and is protected by applicable copyrights, trademarks, service marks, and/or other intellectual property rights. Such content is solely for your personal, non-commercial use. Accordingly, you may not copy, distribute, modify, post, frame or deep link this content. You may download material displayed on this Website for your personal use provided you also retain all copyright and other proprietary notices contained on the materials. Modification or use of the materials for any other purpose violates BlackRock's intellectual property rights. Holdings subject to change. See www.iShares.com for the most recent funds holdings. The values for “price” shown herein generally represent a price provided by a third-party pricing vendor for the portfolio holding and do not reflect the impact of systematic fair valuation (“the vendor price”). The vendor price is not necessarily the price at which the Fund values the portfolio holding for the purposes of determining its net asset value (the “valuation price”). Additionally, where applicable, foreign currency exchange rates with respect to the portfolio holdings denominated in non-U.S. currencies for the valuation price will be generally determined as of the close of business on the New York Stock Exchange, whereas for the vendor price will be generally determined as of 4 p.m. London. The values shown herein for “market value,” “weight,” and “notional value” (the “calculated values”) are based off of the vendor price and may have been different if the valuation price were to have been used to calculate such values. The vendor price is as of the most recent practicable date and may not necessarily be as of the date shown above. Please see the “Determination of Net Asset Value” section of each Fund’s prospectus for additional information on the Fund’s valuation policies and procedures. CAREFULLY CONSIDER THE FUNDS' INVESTMENT OBJECTIVES, RISK FACTORS, AND CHARGES AND EXPENSES BEFORE INVESTING. THIS AND OTHER INFORMATION CAN BE FOUND IN THE FUNDS' PROSPECTUSES OR, IF AVAILABLE, THE SUMMARY PROSPECTUSES WHICH MAY BE OBTAINED BY VISITING WWW.ISHARES.COM OR WWW.BLACKROCK.COM. READ THE PROSPECTUS CAREFULLY BEFORE INVESTING. INVESTING INVOLVES RISK, INCLUDING POSSIBLE LOSS OF PRINCIPAL. This information should not be relied upon as research, investment advice, or a recommendation regarding any products, strategies, or any security in particular. This material is strictly for illustrative, educational, or informational purposes and is subject to change. The Funds are distributed by BlackRock Investments, LLC (together with its affiliates, “BlackRock”). The iShares Funds are not sponsored, endorsed, issued, sold or promoted by Bloomberg, BlackRock Index Services, LLC, Cboe Global Indices, LLC, Cohen & Steers, European Public Real Estate Association (“EPRA® ”), FTSE International Limited (“FTSE”), ICE Data Indices, LLC, NSE Indices Ltd, JPMorgan, JPX Group, London Stock Exchange Group (“LSEG”), MSCI Inc., Markit Indices Limited, Morningstar, Inc., Nasdaq, Inc., National Association of Real Estate Investment Trusts (“NAREIT”), Nikkei, Inc., Russell, S&P Dow Jones Indices LLC or STOXX Ltd. None of these companies make any representation regarding the advisability of investing in the Funds. With the exception of BlackRock Index Services, LLC, who is an affiliate, BlackRock Investments, LLC is not affiliated with the companies listed above. Neither FTSE, LSEG, nor NAREIT makes any warranty regarding the FTSE Nareit Equity REITS Index, FTSE Nareit All Residential Capped Index or FTSE Nareit All Mortgage Capped Index. Neither FTSE, EPRA, LSEG, nor NAREIT makes any warranty regarding the FTSE EPRA Nareit Developed ex-U.S. Index, FTSE EPRA Nareit Developed Green Target Index or FTSE EPRA Nareit Global REITs Index. “FTSE®” is a trademark of London Stock Exchange Group companies and is used by FTSE under license. ©2023 BlackRock, Inc or its affiliates. All rights reserved. iSHARES, iBONDS and BLACKROCK are trademarks of BlackRock, Inc. or its affiliates. All other trademarks are those of their respective owners. iCRMH0323U/S-2742939 nan nan nan nan nan nan nan nan