ETF constituents for TLH

Below, a list of constituents for TLH (iShares 10-20 Year Treasury Bond ETF) is shown. In total, TLH consists of 69 securities.

Note: The data shown here is as of date Dec 19, 2025 (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 (%)
TREASURY BOND Treasuries Fixed Income 690788588.15 5.6 US912810TW80 11.72 Nov 15, 2043 4.75
TREASURY BOND Treasuries Fixed Income 500304805.67 4.06 US912810TZ12 11.81 Feb 15, 2044 4.5
TREASURY BOND Treasuries Fixed Income 497540378.64 4.03 US912810UD80 12.21 Aug 15, 2044 4.13
TREASURY BOND Treasuries Fixed Income 494269986.87 4.01 US912810TA60 12.72 Aug 15, 2041 1.75
TREASURY BOND Treasuries Fixed Income 490400766.86 3.98 US912810TC27 12.71 Nov 15, 2041 2.0
TREASURY BOND Treasuries Fixed Income 467833205.85 3.79 US912810TU25 11.69 Aug 15, 2043 4.38
TREASURY BOND Treasuries Fixed Income 457739993.32 3.71 US912810TM09 11.72 Nov 15, 2042 4.0
TREASURY BOND Treasuries Fixed Income 450337803.41 3.65 US912810TK43 11.88 Aug 15, 2042 3.38
TREASURY BOND Treasuries Fixed Income 436274257.47 3.54 US912810TS78 12.01 May 15, 2043 3.88
TREASURY BOND Treasuries Fixed Income 418943362.62 3.4 US912810UJ50 12.03 Feb 15, 2045 4.75
TREASURY BOND (OTR) Treasuries Fixed Income 416173621.72 3.37 US912810UQ93 12.51 Nov 15, 2045 4.63
TREASURY BOND Treasuries Fixed Income 404324095.31 3.28 US912810SW99 12.3 Feb 15, 2041 1.88
TREASURY BOND Treasuries Fixed Income 399272517.99 3.24 US912810TQ13 11.78 Feb 15, 2043 3.88
TREASURY BOND Treasuries Fixed Income 361492380.24 2.93 US912810TF57 12.41 Feb 15, 2042 2.38
TREASURY BOND Treasuries Fixed Income 351018065.62 2.85 US912810SY55 12.2 May 15, 2041 2.25
TREASURY BOND Treasuries Fixed Income 348072098.04 2.82 US912810ST60 12.7 Nov 15, 2040 1.38
TREASURY BOND Treasuries Fixed Income 320374224.63 2.6 US912810RB61 12.71 May 15, 2043 2.88
TREASURY BOND Treasuries Fixed Income 299922601.6 2.43 US912810SQ22 12.73 Aug 15, 2040 1.13
TREASURY BOND (OLD) Treasuries Fixed Income 296588084.46 2.4 US912810UN62 12.14 Aug 15, 2045 4.88
TREASURY BOND Treasuries Fixed Income 287094771.69 2.33 US912810UB25 11.97 May 15, 2044 4.63
TREASURY BOND Treasuries Fixed Income 251003519.81 2.03 US912810RC45 12.14 Aug 15, 2043 3.63
TREASURY BOND Treasuries Fixed Income 250172896.16 2.03 US912810QX90 12.35 Aug 15, 2042 2.75
TREASURY BOND Treasuries Fixed Income 227835547.74 1.85 US912810UF39 12.15 Nov 15, 2044 4.63
TREASURY BOND Treasuries Fixed Income 213045141.95 1.73 US912810RE01 12.35 Feb 15, 2044 3.63
TREASURY BOND (2OLD) Treasuries Fixed Income 202019659.19 1.64 US912810UL07 12.13 May 15, 2045 5.0
TREASURY BOND Treasuries Fixed Income 197573903.17 1.6 US912810SR05 12.61 May 15, 2040 1.13
TREASURY BOND Treasuries Fixed Income 185705583.17 1.51 US912810RK60 13.74 Feb 15, 2045 2.5
TREASURY BOND Treasuries Fixed Income 184138982.6 1.49 US912810RD28 12.29 Nov 15, 2043 3.75
TREASURY BOND Treasuries Fixed Income 168678635.48 1.37 US912810RG58 12.75 May 15, 2044 3.38
TREASURY BOND Treasuries Fixed Income 162023855.94 1.31 US912810RH32 12.93 Aug 15, 2044 3.13
TREASURY BOND Treasuries Fixed Income 152447144.18 1.24 US912810QE10 10.08 Feb 15, 2040 4.63
TREASURY BOND Treasuries Fixed Income 137009385.7 1.11 US912810QD37 10.17 Nov 15, 2039 4.38
TREASURY BOND Treasuries Fixed Income 131649160.04 1.07 US912810TH14 11.96 May 15, 2042 3.25
TREASURY BOND Treasuries Fixed Income 124380393.75 1.01 US912810RN00 13.57 Aug 15, 2045 2.88
TREASURY BOND Treasuries Fixed Income 121936199.48 0.99 US912810QK79 10.66 Aug 15, 2040 3.88
TREASURY BOND Treasuries Fixed Income 120620337.02 0.98 US912810QB70 9.97 May 15, 2039 4.25
TREASURY BOND Treasuries Fixed Income 110015600.32 0.89 US912810QU51 11.83 Feb 15, 2042 3.13
TREASURY BOND Treasuries Fixed Income 89315029.97 0.72 US912810QZ49 12.29 Feb 15, 2043 3.13
TREASURY BOND Treasuries Fixed Income 88143776.26 0.71 US912810PX00 9.36 May 15, 2038 4.5
TREASURY BOND Treasuries Fixed Income 87749065.64 0.71 US912810QY73 12.58 Nov 15, 2042 2.75
TREASURY BOND Treasuries Fixed Income 85891645.07 0.7 US912810FT08 7.98 Feb 15, 2036 4.5
TREASURY BOND Treasuries Fixed Income 77739603.67 0.63 US912810PW27 9.18 Feb 15, 2038 4.38
TREASURY BOND Treasuries Fixed Income 77660055.3 0.63 US912810QA97 10.08 Feb 15, 2039 3.5
TREASURY BOND Treasuries Fixed Income 76783191.83 0.62 US912810RP57 13.68 Nov 15, 2045 3.0
TREASURY BOND Treasuries Fixed Income 76053327.24 0.62 US912810RM27 13.47 May 15, 2045 3.0
TREASURY BOND Treasuries Fixed Income 68287866.0 0.55 US912810PU60 8.65 May 15, 2037 5.0
TREASURY BOND Treasuries Fixed Income 61033358.49 0.49 US912810PT97 8.5 Feb 15, 2037 4.75
TREASURY BOND Treasuries Fixed Income 59378624.09 0.48 US912810RJ97 13.27 Nov 15, 2044 3.0
BLK CSH FND TREASURY SL AGENCY Cash and/or Derivatives Money Market 47723743.22 0.39 US0669224778 0.09 nan 3.65
TREASURY BOND Treasuries Fixed Income 44556520.39 0.36 US912810QC53 9.89 Aug 15, 2039 4.5
TREASURY STRIP (PRIN) Treasuries Fixed Income 35950710.52 0.29 US912803FW85 14.8 Feb 15, 2041 0.0
TREASURY NOTE Treasuries Fixed Income 17221224.64 0.14 US91282CFJ53 3.42 Aug 31, 2029 3.13
TREASURY NOTE Treasuries Fixed Income 13514739.69 0.11 US91282CLW90 7.32 Nov 15, 2034 4.25
TREASURY NOTE Treasuries Fixed Income 4676675.88 0.04 US91282CEP23 5.74 May 15, 2032 2.88
TREASURY NOTE Treasuries Fixed Income 3570844.79 0.03 US91282CFF32 5.92 Aug 15, 2032 2.75
TREASURY BOND Treasuries Fixed Income 2816345.41 0.02 US912810QN19 10.48 Feb 15, 2041 4.75
TREASURY BOND Treasuries Fixed Income 2690318.47 0.02 US912810QH41 10.41 May 15, 2040 4.38
TREASURY BOND Treasuries Fixed Income 2665193.69 0.02 US912810QQ40 10.87 May 15, 2041 4.38
TREASURY STRIP (PRIN) Treasuries Fixed Income 2654381.14 0.02 US912803FZ17 15.04 May 15, 2041 0.0
TREASURY BOND Treasuries Fixed Income 2637591.49 0.02 US912810QL52 10.7 Nov 15, 2040 4.25
TREASURY BOND Treasuries Fixed Income 2489538.11 0.02 US912810QS06 11.19 Aug 15, 2041 3.75
TREASURY BOND Treasuries Fixed Income 2260460.39 0.02 US912810QT88 11.81 Nov 15, 2041 3.13
TREASURY BOND Treasuries Fixed Income 2199961.74 0.02 US912810QW18 12.14 May 15, 2042 3.0
US TREASURY N/B Treasuries Fixed Income 1405647.12 0.01 US91282CAE12 4.49 Aug 15, 2030 0.63
TREASURY NOTE Treasuries Fixed Income 459546.06 0.0 US91282CDY49 5.67 Feb 15, 2032 1.88
TREASURY NOTE Treasuries Fixed Income 92651.11 0.0 US91282CDJ71 5.56 Nov 15, 2031 1.38
TREASURY STRIP (PRIN) Treasuries Fixed Income 38093.47 0.0 US912803FU20 14.56 Nov 15, 2040 0.0
USD CASH Cash and/or Derivatives Cash -29614148.65 -0.24 nan 0.0 nan 0.0
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. nan nan nan nan nan nan nan nan