0001752724-23-071869.txt : 20230329 0001752724-23-071869.hdr.sgml : 20230329 20230329131158 ACCESSION NUMBER: 0001752724-23-071869 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230131 FILED AS OF DATE: 20230329 DATE AS OF CHANGE: 20230329 PERIOD START: 20231031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: iShares U.S. ETF Trust CENTRAL INDEX KEY: 0001524513 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22649 FILM NUMBER: 23773989 BUSINESS ADDRESS: STREET 1: 400 HOWARD STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 BUSINESS PHONE: (415) 670-2000 MAIL ADDRESS: STREET 1: 400 HOWARD STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 0001524513 S000076590 iShares Interest Rate Hedged U.S. Aggregate Bond ETF C000236575 iShares Interest Rate Hedged U.S. Aggregate Bond ETF AGRH NPORT-P 1 primary_doc.xml NPORT-P false 0001524513 XXXXXXXX S000076590 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USD -3.43000000 USD 210000.00000000 USD 7231.69000000 N N N 2023-03-01 iShares U.S. ETF Trust Chuck Pulsfort Chuck Pulsfort Assistant Treasurer XXXX NPORT-EX 2 NPORT_0B79_36141260_0123.htm

 

Schedule of Investments (unaudited) iShares® Interest Rate Hedged U.S. Aggregate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security  Shares   Value 
         
Investment Companies          
           
Exchange-Traded Funds — 94.7%          
iShares Core U.S. Aggregate Bond ETF(a)   24,254   $2,430,736 
           
Total Investment Companies          
(Cost: $2,431,012)        2,430,736 
           
Short-Term Securities          
           
Money Market Funds — 1.2%          
BlackRock Cash Funds: Treasury, SL Agency Shares, 4.18%(a)(b)   30,000    30,000 
           
Total Short-Term Securities — 1.2%          
(Cost: $30,000)        30,000 
           
Total Investments in Securities — 95.9%          
(Cost: $2,461,012)        2,460,736 
           
Other Assets Less Liabilities — 4.1%        104,832 
           
Net Assets — 100.0%       $2,565,568 

 

 

(a) Affiliate of the Fund. 

(b) Annualized 7-day yield as of period end.


Affiliates

 

Investments in issuers considered to be affiliate(s) of the Fund during the period ended January 31, 2023 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:

 

Affiliated Issuer 

Value at

10/31/22

  

Purchases

at Cost

  

Proceeds

from Sale

  

Net Realized

Gain (Loss)

  

Change in

Unrealized

Appreciation

(Depreciation)

  

Value at

01/31/23

  

Shares

Held at

01/31/23

   Income  

Capital

Gain

Distributions

from

Underlying

Funds

 
BlackRock Cash Funds: Treasury, SL Agency Shares  $10,000   $20,000(a)  $   $   $   $30,000    30,000   $618   $ 
iShares Core U.S. Aggregate Bond ETF   2,382,370    82,148    (167,547)   (3,796)   137,561    2,430,736    24,254    16,433     
                  $(3,796)  $137,561   $2,460,736        $17,051   $ 

 

(a)Represents net amount purchased (sold).

 

Derivative Financial Instruments Outstanding as of Period End

 

Centrally Cleared Interest Rate Swaps

 

                              Upfront     
                      Notional       Premium   Unrealized 
Paid by the Fund  Received by the Fund  Effective   Termination   Amount       Paid   Appreciation 
Rate  Frequency  Rate    Frequency  Date   Date    (000)   Value    (Received)    (Depreciation) 
3.07%  Annual  1-Day SOFR, 4.30%    Annual  N/A   07/11/23   $(150)  $1,194   $   $1,194 
3.01%  Annual  1-Day SOFR, 4.30%    Annual  N/A   07/11/24    (250)   5,536    1    5,535 
2.87%  Annual  1-Day SOFR, 4.29%    Annual  N/A   07/11/25    (340)   8,848    2    8,846 
2.83%  Annual  1-Day SOFR, 4.30%    Annual  N/A   08/04/25    (30)   809    1    808 
3.14%  Annual  1-Day SOFR, 4.30%    Annual  N/A   08/23/25    (10)   195        195 
4.49%  Annual  1-Day SOFR, 4.30%    Annual  N/A   11/07/25    (30)   (492)       (492)
4.04%  Annual  1-Day SOFR, 4.30%    Annual  N/A   12/30/25    (30)   (184)       (184)
3.69%  Annual  1-Day SOFR, 4.30%    Annual  N/A   01/27/26    (50)   146    1    145 
2.91%  Annual  1-Day SOFR, 4.29%    Annual  N/A   07/01/27    (15)   333        333 
2.80%  Annual  1-Day SOFR, 4.29%    Annual  N/A   07/11/27    (380)   10,208    3    10,205 
3.08%  Annual  1-Day SOFR, 4.30%    Annual  N/A   09/02/27    (10)   151        151 
4.20%  Annual  1-Day SOFR, 4.30%    Annual  N/A   10/24/27    (10)   (335)       (335)
4.17%  Annual  1-Day SOFR, 4.30%    Annual  N/A   11/03/27    (10)   (325)       (325)

 

 1

 

 

Schedule of Investments (unaudited) (continued) iShares® Interest Rate Hedged U.S. Aggregate Bond ETF
January 31, 2023

 

Centrally Cleared Interest Rate Swaps (continued)

 

                              Upfront     
                      Notional       Premium   Unrealized 
Paid by the Fund  Received by the Fund  Effective   Termination   Amount       Paid   Appreciation 
Rate  Frequency  Rate    Frequency  Date   Date    (000)   Value    (Received)    (Depreciation) 
2.88%  Annual  1-Day SOFR, 4.29%    Annual  N/A   07/01/29   $(15)  $352   $   $352 
2.78%  Annual  1-Day SOFR, 4.30%    Annual  N/A   07/11/29    (320)   9,254    4    9,250 
2.64%  Annual  1-Day SOFR, 4.30%    Annual  N/A   08/22/29    (20)   750        750 
3.60%  Annual  1-Day SOFR, 4.30%    Annual  N/A   10/07/29    (10)   (194)       (194)
4.06%  Annual  1-Day SOFR, 4.30%    Annual  N/A   10/24/29    (12)   (566)       (566)
3.62%  Annual  1-Day SOFR, 4.30%    Annual  N/A   12/30/29    (10)   (218)       (218)
2.89%  Annual  1-Day SOFR, 4.29%    Annual  N/A   07/01/32    (10)   254        254 
2.81%  Annual  1-Day SOFR, 4.30%    Annual  N/A   07/11/32    (210)   6,795    4    6,791 
2.61%  Annual  1-Day SOFR, 4.30%    Annual  N/A   08/22/32    (10)   488    1    487 
2.80%  Annual  1-Day SOFR, 4.30%    Annual  N/A   08/25/32    (10)   334    1    333 
2.93%  Annual  1-Day SOFR, 4.30%    Annual  N/A   09/02/32    (10)   227        227 
3.56%  Annual  1-Day SOFR, 4.30%    Annual  N/A   12/30/32    (10)   (304)       (304)
2.89%  Annual  1-Day SOFR, 4.30%    Annual  N/A   07/11/37    (130)   4,681    3    4,678 
2.68%  Annual  1-Day SOFR, 4.30%    Annual  N/A   08/22/37    (10)   605        605 
2.86%  Annual  1-Day SOFR, 4.30%    Annual  N/A   08/25/37    (7)   276        276 
2.86%  Annual  1-Day SOFR, 4.30%    Annual  N/A   07/11/42    (125)   5,481    3    5,478 
2.67%  Annual  1-Day SOFR, 4.30%    Annual  N/A   08/22/42    (10)   723    1    722 
2.84%  Annual  1-Day SOFR, 4.30%    Annual  N/A   08/25/42    (10)   481        481 
3.48%  Annual  1-Day SOFR, 4.30%    Annual  N/A   12/30/42    (10)   (473)       (473)
2.76%  Annual  1-Day SOFR, 4.30%    Annual  N/A   07/11/47    (105)   5,598    3    5,595 
2.56%  Annual  1-Day SOFR, 4.30%    Annual  N/A   08/05/47    (15)   1,297        1,297 
3.08%  Annual  1-Day SOFR, 4.30%    Annual  N/A   10/05/47    (10)   (32)   1    (33)
3.08%  Annual  1-Day SOFR, 4.30%    Annual  N/A   01/31/48    (10)   (40)   1    (41)
2.70%  Annual  1-Day SOFR, 4.29%    Annual  N/A   06/24/52    (3)   152        152 
2.65%  Annual  1-Day SOFR, 4.30%    Annual  N/A   07/11/52    (75)   4,560    2    4,558 
2.96%  Annual  1-Day SOFR, 4.30%    Annual  N/A   01/13/53    (5)   (5)       (5)
3.00%  Annual  1-Day SOFR, 4.30%    Annual  N/A   01/25/53    (5)   (44)       (44)
                           $66,516   $32   $66,484 

 

Fair Value Hierarchy as of Period End

 

Various inputs are used in determining the fair value of financial instruments. These inputs to valuation techniques are categorized into a fair value hierarchy consisting of three broad levels for financial reporting purposes as follows:

 

Level 1 – Unadjusted price quotations in active markets/exchanges for identical assets or liabilities that each Fund has the ability to access;

 

Level 2 – Other observable inputs (including, but not limited to, quoted prices for similar assets or liabilities in markets that are active, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the assets or liabilities (such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market-corroborated inputs); and

 

Level 3 – Unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Valuation Committee’s assumptions used in determining the fair value of financial instruments).

 

The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3. The inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the fair value hierarchy classification is determined based on the lowest level input that is significant to the fair value measurement in its entirety. Investments classified within Level 3 have significant unobservable inputs used by the Valuation Committee in determining the price for Fair Valued Investments. Level 3 investments include equity or debt issued by privately held companies or funds. There may not be a secondary market, and/or there are a limited number of investors. The categorization of a value determined for financial instruments is based on the pricing transparency of the financial instruments and is not necessarily an indication of the risks associated with investing in those securities. For information about the Fund’s policy regarding valuation of financial instruments, refer to its most recent financial statements.

 

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Schedule of Investments (unaudited) (continued) iShares® Interest Rate Hedged U.S. Aggregate Bond ETF
January 31, 2023

 

Fair Value Hierarchy as of Period End (continued)

 

The following table summarizes the Fund’s financial instruments categorized in the fair value hierarchy. The breakdown of the Fund’s financial instruments into major categories is disclosed in the Schedule of Investments above.

 

   Level 1   Level 2   Level 3   Total 
Assets                
Investments                
Long-Term Investments                    
Investment Companies  $2,430,736   $   $   $2,430,736 
Short-Term Securities                    
Money Market Funds   30,000            30,000 
   $2,460,736   $   $   $2,460,736 
Derivative Financial Instruments(a)                    
Assets                    
Interest Rate Contracts  $   $69,698   $   $69,698 
Liabilities                    
Interest Rate Contracts       (3,214)       (3,214)
   $   $66,484   $    66,484 

 

(a)Derivative financial instruments are swaps. Swaps are valued at the unrealized appreciation (depreciation) on the instrument.

 

Portfolio Abbreviation

 

SOFRSecured Overnight Financing Rate

 

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