AGG
Fixed Income

iShares Core U.S. Aggregate Bond ETF

NAV as ofMay 18, 2026
$97.9752 WK: 96.83 - 101.37
1 Day NAV Change as ofMay 18, 2026
Decrease $-0.01(-0.01%)
May 18, 2026
YTD: Decrease -0.63%
May 15, 2026
4.44%
May 15, 2026
4.00%
Expense Ratio:Fees as stated in the prospectus
0.03%
3 stars
Gold Medal
NAV as ofMay 18, 2026
$97.9752 WK: 96.83 - 101.37
1 Day NAV Change as ofMay 18, 2026
Decrease $-0.01(-0.01%)
May 18, 2026
YTD: Decrease -0.63%
May 15, 2026
4.44%
May 15, 2026
4.00%
Expense Ratio:Fees as stated in the prospectus
0.03%
3 stars
Gold Medal
The iShares Core U.S. Aggregate Bond ETF seeks to track an index that includes U.S. investment-grade bonds. The fund offers a way to gain broad exposure to the total U.S. bond market for investors seeking income and diversification.

Key Facts

Net Assets of Fund
Fund Inception
Benchmark Index
Exchange
NYSE Arca
Shares Outstanding
1,373,300,000
as of May 18, 2026
0.04
as of May 18, 2026
Closing Price
98.01
as of May 18, 2026
0.01%
as of May 18, 2026
Asset Class
Fixed Income
Bloomberg Index Ticker
LBUSTRUU
Monthly
CUSIP
464287226
7,737,210.00
as of May 18, 2026
7,774,550.00
as of May 18, 2026

Portfolio Characteristics

5.58%
as of Apr 30, 2026
3.70
as of May 18, 2026
5.74 yrs
as of May 18, 2026
24.95 bps
as of May 18, 2026
0.22
as of Apr 30, 2026
4.80%
as of May 18, 2026
8.03 yrs
as of May 18, 2026
0.44
as of May 18, 2026

This information must be preceded or accompanied by a current prospectus. For standardized performance, please see the Performance section.

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Holdings

Holdings are subject to change.


The values shown for “market value,” “weight,” and “notional value” (the “calculated values”) are based off of 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”). Holdings data shown reflects the investment book of record, which may differ from the accounting book of record used for the purposes of determining the Net Assets of the Fund. Notional value represents the portfolio's exposures based on the economic value of investments and options are delta-adjusted. 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 calculated values 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 date for which a price is available 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.