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      Current Value of Holding

      $5.55B

      Shares

      57.7M

      % of Portfolio

      2.05%

      Average Buy Price

      $99.4

      Avg closing price
      Price range

      46 Ken Fisher BlackRock Institutional Trust Company N.A. - iShares 7-10 Year Treasury Bond ETF Trades

      Ken Fisher's position in BlackRock Institutional Trust Company N.A. - iShares 7-10 Year Treasury Bond ETF is currently worth $5.55B. That's 2.05% of their equity portfolio (8th largest holding). The investor owns 196.16% of the outstanding BlackRock Institutional Trust Company N.A. - iShares 7-10 Year Treasury Bond ETF stock. The first BlackRock Institutional Trust Company N.A. - iShares 7-10 Year Treasury Bond ETF trade was made in Q1 2013. Since then Ken Fisher bought shares 28 more times and sold shares on seventeen occasions. The investor's estimated purchase price is $5.73B, resulting in a loss of 3.1%.

      Avg closing price
      Price range
      Increased shares by 4.9% (+2.69M shares) Q2 2025
      Avg closing price $94.55
      Price range $93.15 - $96.56
      Increased shares by 11.7% (+5.74M shares) Q1 2025
      Avg closing price $93.52
      Price range $91.17 - $95.39
      Increased shares by 18.2% (+7.57M shares) Q4 2024
      Avg closing price $94.43
      Price range $92.08 - $98.19
      Increased shares by 104.5% (+21.3M shares) Q3 2024
      Avg closing price $96.63
      Price range $92.67 - $99.14
      Increased shares by 4.3% (+836k shares) Q2 2024
      Avg closing price $92.90
      Price range $91.24 - $94.60
      Increased shares by 101.4% (+9.84M shares) Q1 2024
      Avg closing price $94.77
      Price range $93.54 - $96.82
      Increased shares by 5.1% (+467k shares) Q4 2023
      Avg closing price $92.48
      Price range $88.95 - $97.00
      Increased shares by 5.9% (+512k shares) Q3 2023
      Avg closing price $94.32
      Price range $91.32 - $97.13
      Increased shares by 5.4% (+446k shares) Q2 2023
      Avg closing price $98.30
      Price range $96.39 - $100.48
      Sold 18.7% shares (-1.9M shares) Q1 2023
      Avg closing price $97.75
      Price range $94.41 - $100.02
      Increased shares by 3.4% (+334k shares) Q4 2022
      Avg closing price $96.03
      Price range $92.93 - $99.14
      Sold 21.0% shares (-2.62M shares) Q3 2022
      Avg closing price $101.47
      Price range $94.56 - $105.60
      Increased shares by 0.9% (+110k shares) Q2 2022
      Avg closing price $102.61
      Price range $98.15 - $106.65
      Increased shares by 11.6% (+1.28M shares) Q1 2022
      Avg closing price $110.98
      Price range $106.08 - $113.93
      Increased shares by 7.0% (+720k shares) Q4 2021
      Avg closing price $114.95
      Price range $113.55 - $116.36
      Increased shares by 6.3% (+613k shares) Q3 2021
      Avg closing price $116.93
      Price range $114.96 - $118.18
      Increased shares by 10.6% (+933k shares) Q2 2021
      Avg closing price $114.44
      Price range $113.04 - $115.78
      New holding (+8.8M shares) Q1 2021
      Avg closing price $116.51
      Price range $112.93 - $119.98
      Sold -1.9k shares Q2 2020
      Avg closing price $121.51
      Price range $119.77 - $122.41
      New holding (+1.9k shares) Q1 2020
      Avg closing price $115.09
      Price range $110.73 - $121.48

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