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Holdings (Monthly) Guide ↗

iShares U.S. Digital Infrastructure and Real Estate ETF

· iShares Trust
Monthly Holdings $176M AUM 30 positions Period Mar 2026 Filed May 28, 2026 EDGAR ↗ ← All Funds
All 4 New 16 Added 9 Reduced 1 Exited · Mar 2026 vs Sep 2025
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Equinix, Inc. 29444U700 Mar 2026 16,913 +343 $16.6M +27.7% 9.97% EC
2 American Tower Corp. 03027X100 Mar 2026 90,880 +24,123 $15.7M +22.2% 9.44% EC
3 Digital Realty Trust, Inc. 253868103 Mar 2026 83,519 +9,134 $15.1M +17.0% 9.06% EC
4 SBA Communications Corp. 78410G104 Mar 2026 60,112 +31,085 $10.3M +84.3% 6.22% EC
5 BlackRock Funds III 066922519 Mar 2026 9,935,583 +6,396,113 $9.9M +180.6% 5.98% STIV
6 Crown Castle, Inc. 22822V101 Mar 2026 109,289 -4,347 $8.9M -19.0% 5.35% EC
7 Uniti Group, Inc. 912932100 Mar 2026 915,817 +66,089 $8.6M +65.2% 5.17% EC
8 Ciena Corp. 171779309 Mar 2026 20,238 +12,847 $7.9M +629.8% 4.73% EC
9 Cisco Systems, Inc. 17275R102 Mar 2026 96,730 +51,754 $7.5M +143.9% 4.52% EC
10 NetApp, Inc. 64110D104 Mar 2026 69,106 +59,400 $7.1M +515.4% 4.26% EC
11 CoreWeave, Inc. 21873S108 89,589 NEW $6.9M 4.18% EC
12 Nokia OYJ 654902204 Mar 2026 829,556 -70,061 $6.7M +54.1% 4.01% EC
13 Fastly, Inc. 31188V100 Mar 2026 218,564 -725,166 $6.4M -21.3% 3.82% EC
14 Credo Technology Group Holding Ltd. N/A Mar 2026 64,888 +64,887 $6.1M +2083944.4% 3.66% EC
15 Arista Networks, Inc. 040413205 Mar 2026 47,047 +8,431 $5.8M +2.7% 3.48% EC
16 QUALCOMM, Inc. 747525103 Mar 2026 44,551 +9,289 $5.7M -2.2% 3.45% EC
17 Super Micro Computer, Inc. 86800U302 Mar 2026 235,994 +166,503 $5.4M +61.3% 3.23% EC
18 Ubiquiti, Inc. 90353W103 6,064 NEW $4.8M 2.88% EC
19 Telefonaktiebolaget LM Ericsson 294821608 Mar 2026 423,374 +183,971 $4.8M +141.0% 2.87% EC
20 Calix, Inc. 13100M509 Mar 2026 81,145 -11,246 $4.0M -29.9% 2.39% EC
21 Extreme Networks, Inc. 30226D106 Mar 2026 249,935 +242,016 $3.8M +2204.8% 2.27% EC
22 Motorola Solutions, Inc. 620076307 Mar 2026 7,795 -4,289 $3.4M -38.8% 2.04% EC
23 Vistance Networks, Inc. 20337X109 Mar 2026 137,030 -221,825 $2.5M -55.1% 1.50% EC
24 A10 Networks, Inc. 002121101 Mar 2026 58,576 -169,843 $1.4M -67.3% 0.81% EC
25 ADTRAN Holdings, Inc. 00486H105 Mar 2026 59,026 -249,936 $743K -74.4% 0.45% EC
26 Clearfield, Inc. 18482P103 Mar 2026 8,190 -28,769 $217K -82.9% 0.13% EC
27 BlackRock Funds III 066922477 Mar 2026 120,320 +42,068 $120K +53.8% 0.07% STIV
28 N/A N/A Mar 2026 5 NEW $219 0.00% DE
29 N/A N/A Mar 2026 3 NEW $-1276 -0.00% DE
Marvell Technology, Inc. 573874104 33,955 SOLD $2.9M