0001752724-23-071864.txt : 20230329 0001752724-23-071864.hdr.sgml : 20230329 20230329131159 ACCESSION NUMBER: 0001752724-23-071864 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, Inc. CENTRAL INDEX KEY: 0000930667 IRS NUMBER: 510396525 STATE OF INCORPORATION: MD FISCAL YEAR END: 0831 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-09102 FILM NUMBER: 23773990 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 FORMER COMPANY: FORMER CONFORMED NAME: iSHARES INC DATE OF NAME CHANGE: 20070126 FORMER COMPANY: FORMER CONFORMED NAME: ISHARES INC DATE OF NAME CHANGE: 20000516 FORMER COMPANY: FORMER CONFORMED NAME: WEBS INDEX FUND INC DATE OF NAME CHANGE: 19970211 0000930667 S000036776 iShares J.P. Morgan EM Corporate Bond ETF C000112502 iShares J.P. Morgan EM Corporate Bond ETF CEMB NPORT-P 1 primary_doc.xml NPORT-P false 0000930667 XXXXXXXX S000036776 C000112502 iShares, Inc. 811-09102 0000930667 549300MGJZCNMJLBAJ67 400 HOWARD STREET SAN FRANCISCO 94105 800-474-2737 iShares J.P. 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Chuck Pulsfort Chuck Pulsfort Assistant Treasurer XXXX NPORT-EX 2 NPORT_2QWA_45824220_0123.htm

 

Schedule of Investments (unaudited) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security 

Par 

(000) 

   Value 
         
Corporate Bonds & Notes          
           
Argentina — 1.1%          
MSU Energy SA/UGEN SA/UENSA SA, 6.88%, 02/01/25 (Call 03/02/23)(a)  $350   $264,753 
Pampa Energia SA, 7.50%, 01/24/27 (Call 01/24/24)(a)   450    423,619 
Transportadora de Gas del Sur SA, 6.75%, 05/02/25
(Call 03/02/23)(a)
   300    280,650 
YPF SA          
6.95%, 07/21/27(a)   600    477,112 
7.00%, 12/15/47 (Call 06/15/47)(a)   350    244,563 
8.50%, 07/28/25(a)   625    569,578 
8.75%, 04/04/24(a)   455    435,890 
YPF Sociedad Anonima          
7.00%, 09/30/33 (Call 03/30/33)   375    284,063 
9.00%, 02/12/26 (Call 11/12/25)   480    471,396 
         3,451,624 
Australia — 0.1%          
Anglo American Capital PLC, 2.88%, 03/17/31
(Call 12/17/30)(a)
   200    170,946 
           
Azerbaijan — 0.2%          
International Bank of Azerbaijan OJSC, 3.50%, 09/01/24(a)   700    672,000 
           
Bahrain — 0.3%          
AUB Sukuk Ltd., 2.62%, 09/09/26(a)   400    365,950 
BBK BSC, 5.50%, 07/09/24(a)   200    197,163 
GFH Sukuk Ltd., 7.50%, 01/28/25(a)   400    399,950 
         963,063 
Brazil — 4.8%          
Adecoagro SA, 6.00%, 09/21/27 (Call 09/21/23)   150    143,231 
Amaggi Luxembourg International Sarl, 5.25%, 01/28/28
(Call 01/28/25)
   200    187,600 
Atento Luxco 1 SA, 8.00%, 02/10/26 (Call 02/10/24)   50    22,250 
Azul Investments LLP, 7.25%, 06/15/26 (Call 06/15/24)   200    120,538 
B3 SA - Brasil Bolsa Balcao, 4.13%, 09/20/31(a)   200    173,500 
Banco Bradesco SA/Cayman Islands, 4.38%, 03/18/27(a)   200    192,600 
Banco BTG Pactual SA/Cayman Islands          
2.75%, 01/11/26 (Call 12/11/25)(a)   200    181,163 
4.50%, 01/10/25 (Call 12/10/24)(a)(b)   200    192,600 
Banco do Brasil SA/Cayman          
3.25%, 09/30/26(a)   200    184,225 
4.75%, 03/20/24   200    197,400 
4.88%, 01/11/29(a)   200    188,975 
6.25%, (Call 04/15/24)(a)(c)(d)   200    181,000 
9.00%, (Call 06/18/24)(a)(c)(d)   400    400,000 
9.25%, 10/29/49 (Call 04/15/23)   200    200,100 
Banco Votorantim SA, 4.38%, 07/29/25(a)   200    192,163 
Braskem Netherlands Finance BV          
4.50%, 01/10/28 (Call 10/10/27)(a)   200    188,225 
4.50%, 01/31/30(a)   400    350,880 
5.88%, 01/31/50(a)   200    165,040 
8.50%, 01/23/81 (Call 10/23/25)(a)(d)   200    204,225 
BRF SA, 5.75%, 09/21/50 (Call 03/21/50)(a)   200    139,475 
Cemig Geracao e Transmissao SA, 9.25%, 12/05/24 (Call 12/05/23)(a)   200    205,000 
Centrais Eletricas Brasileiras SA, 4.63%, 02/04/30(a)   200    175,000 
Cosan Luxembourg SA, 7.00%, 01/20/27 (Call 03/02/23)(a)   200    200,975 
Cosan SA, 5.50%, 09/20/29 (Call 09/20/24)(a)   200    189,538 
CSN Inova Ventures, 6.75%, 01/28/28 (Call 01/28/24)(a)   200    199,800 
CSN Resources SA, 5.88%, 04/08/32 (Call 04/08/27)(a)   200    181,500 
Security 

Par 

(000) 

   Value 
         
Brazil (continued)          
Embraer Netherlands Finance BV          
5.05%, 06/15/25(b)  $200   $196,912 
5.40%, 02/01/27   250    245,312 
Fibria Overseas Finance Ltd., 5.50%, 01/17/27   200    200,350 
FS Luxembourg Sarl, 10.00%, 12/15/25 (Call 12/15/23)   200    201,787 
Gol Finance SA, 8.00%, 06/30/26 (Call 03/02/23)(a)   200    136,850 
GTL Trade Finance Inc., 7.25%, 04/16/44 (Call 10/16/43)(a)   200    231,625 
Guara Norte Sarl, 5.20%, 06/15/34   182    164,472 
InterCement Financial Operations BV, 5.75%, 07/17/24 (Call 03/02/23)(a)   200    157,500 
Itau Unibanco Holding SA/Cayman Island          
3.25%, 01/24/25(a)   200    193,115 
4.50%, 11/21/29 (Call 11/21/24)(a)(d)   200    191,000 
6.50%, (Call 03/19/23)(a)(c)(d)   200    193,162 
7.72%, (Call 06/12/23)(a)(c)(d)   200    194,540 
Klabin Austria GmbH, 7.00%, 04/03/49 (Call 10/03/48)(a)   200    201,400 
Light Servicos de Eletricidade SA/Light Energia SA, 4.38%, 06/18/26 (Call 06/18/24)(a)   200    113,850 
MARB BondCo PLC, 3.95%, 01/29/31 (Call 01/29/26)(a)   200    156,951 
MC Brazil Downstream Trading SARL, 7.25%, 06/30/31(a)(b)   386    337,105 
MercadoLibre Inc., 3.13%, 01/14/31 (Call 10/14/30)(b)   200    158,075 
Minerva Luxembourg SA, 4.38%, 03/18/31 (Call 03/18/26)   200    168,540 
Movida Europe SA, 5.25%, 02/08/31 (Call 02/08/26)(a)   200    145,240 
Natura Cosmeticos SA, 4.13%, 05/03/28 (Call 03/03/28)(a)   200    165,040 
NBM U.S. Holdings Inc., 6.63%, 08/06/29 (Call 08/06/24)(a)   200    194,162 
Nexa Resources SA          
5.38%, 05/04/27 (Call 02/04/27)(a)(b)   600    580,200 
6.50%, 01/18/28 (Call 10/18/27)(a)   200    197,425 
Odebrecht Drilling Norbe VIII/IX Ltd., 7.35%, 12/01/26 (Call 03/02/23), (7.35% PIK)(a)(e)   200    98,739 
Odebrecht Offshore Drilling Finance Ltd., 7.72%, 12/01/26 (Call 03/02/23), (7.72% PIK)(a)(b)(e)   309    65,185 
Oi SA, 10.00%, 07/27/25, (12.00% PIK)(e)   300    30,150 
Petrobras Global Finance BV          
5.09%, 01/15/30   150    141,315 
5.30%, 01/27/25(b)   50    49,800 
5.50%, 06/10/51 (Call 12/10/50)(b)   100    77,813 
5.60%, 01/03/31 (Call 10/03/30)(b)   200    192,960 
6.00%, 01/27/28   225    224,865 
6.25%, 03/17/24(b)   50    50,134 
6.75%, 01/27/41(b)   150    141,778 
6.85%, 06/05/2115(b)   300    258,750 
6.88%, 01/20/40(b)   148    142,015 
6.90%, 03/19/49(b)   150    135,919 
7.25%, 03/17/44   150    146,329 
7.38%, 01/17/27   150    156,300 
Petrorio Luxembourg Trading Sarl, 6.13%, 06/09/26 (Call 06/09/24)(a)   200    192,413 
Raizen Fuels Finance SA, 5.30%, 01/20/27(a)   200    195,360 
Rede D’or Finance Sarl, 4.95%, 01/17/28 (Call 10/17/27)(a)   200    184,665 
Rumo Luxembourg Sarl, 5.25%, 01/10/28 (Call 01/10/24)(a)   200    192,040 
Simpar Europe SA, 5.20%, 01/26/31 (Call 01/26/26)(a)   200    145,360 
Suzano Austria GmbH          
2.50%, 09/15/28 (Call 07/15/28)   100    85,375 
3.13%, 01/15/32 (Call 10/15/31)   300    238,500 
3.75%, 01/15/31 (Call 10/15/30)   300    255,915 
5.00%, 01/15/30 (Call 10/15/29)   200    189,250 
6.00%, 01/15/29 (Call 10/15/28)   200    199,940 
7.00%, 03/16/47 (Call 09/16/46)(a)   200    208,125 

 1

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security 

Par 

(000) 

   Value 
         
Brazil (continued)          
Usiminas International Sarl, 5.88%, 07/18/26 (Call 07/18/23)(a)  $200   $196,037 
Vale Overseas Ltd.          
3.75%, 07/08/30 (Call 04/08/30)   300    267,090 
6.25%, 08/10/26   150    155,858 
6.88%, 11/21/36   400    437,030 
6.88%, 11/10/39   250    273,776 
XP Inc., 3.25%, 07/01/26 (Call 06/01/26)(a)   200    179,163 
         15,189,565 
Burkina Faso — 0.1%          
Endeavour Mining PLC, 5.00%, 10/14/26 (Call 10/14/23)(a)   400    353,450 
           
Canada — 0.1%          
China Development Bank Financial Leasing Co. Ltd., 2.88%, 09/28/30 (Call 09/28/25)(a)(d)   200    186,538 
           
Cayman Islands — 0.0%          
Odebrecht Holdco Finance Ltd., 0.00%, 09/10/58 (Call 03/02/23)(a)(f)   400    750 
           
Chile — 3.8%          
AES Andes SA., 7.13%, 03/26/79 (Call 07/06/24)(a)(d)   400    386,950 
Agrosuper SA, 4.60%, 01/20/32 (Call 10/20/31)(a)   400    356,575 
Alfa Desarrollo SpA, 4.55%, 09/27/51 (Call 03/27/51)(a)   598    480,821 
Antofagasta PLC          
2.38%, 10/14/30 (Call 07/14/30)(a)   200    164,038 
5.63%, 05/13/32 (Call 02/13/32)(a)   400    401,000 
Banco de Chile, 2.99%, 12/09/31 (Call 09/09/31)(a)   400    340,400 
Banco de Credito e Inversiones SA          
2.88%, 10/14/31 (Call 07/14/31)(a)   200    168,288 
3.50%, 10/12/27(a)(b)   400    372,950 
Banco Santander Chile          
2.70%, 01/10/25 (Call 12/10/24)(a)(b)   300    285,900 
3.18%, 10/26/31 (Call 07/28/31)(a)(b)   400    345,325 
Celulosa Arauco y Constitucion SA          
4.20%, 01/29/30 (Call 10/29/29)(a)(b)   400    373,325 
4.25%, 04/30/29 (Call 01/30/29)(a)   200    189,225 
4.50%, 08/01/24 (Call 05/01/24)   200    197,600 
5.15%, 01/29/50 (Call 07/29/49)(a)   400    355,750 
5.50%, 04/30/49 (Call 10/30/48)(a)   200    180,225 
Cencosud SA          
4.38%, 07/17/27 (Call 04/17/27)(a)(b)   600    574,425 
5.15%, 02/12/25 (Call 11/12/24)(a)(b)   200    199,110 
Cia. Cervecerias Unidas SA, 3.35%, 01/19/32
(Call 10/19/31)(a)
   400    341,200 
Colbun SA          
3.15%, 03/06/30 (Call 12/06/29)(a)   200    174,500 
3.15%, 01/19/32 (Call 10/19/31)(a)   400    342,000 
3.95%, 10/11/27 (Call 07/11/27)(a)   400    377,075 
Empresa Nacional de Telecomunicaciones SA          
3.05%, 09/14/32 (Call 06/14/32)(a)   600    482,737 
4.75%, 08/01/26 (Call 05/03/26)(a)   200    195,412 
Enel Americas SA, 4.00%, 10/25/26 (Call 07/25/26)(b)   300    291,337 
Enel Chile SA, 4.88%, 06/12/28 (Call 03/12/28)   600    588,487 
Engie Energia Chile SA, 3.40%, 01/28/30 (Call 10/28/29)(a)   400    333,950 
Falabella SA, 3.38%, 01/15/32 (Call 10/15/31)(a)   400    325,000 
GNL Quintero SA, 4.63%, 07/31/29(a)   459    449,129 
Guacolda Energia SA, 4.56%, 04/30/25 (Call 01/30/25)(a)   200    68,350 
Interchile SA, 4.50%, 06/30/56 (Call 12/30/55)(a)   700    594,562 
Inversiones CMPC SA          
3.00%, 04/06/31 (Call 01/06/31)(a)   200    172,288 
Security 

Par 

(000) 

   Value 
         
Chile (continued)          
3.85%, 01/13/30 (Call 10/13/29)(a)  $200   $185,100 
4.38%, 04/04/27(a)(b)   400    388,575 
4.75%, 09/15/24 (Call 06/15/24)(a)   400    395,440 
Latam Airlines Group SA, 13.38%, 10/15/29   400    429,500 
Sociedad Quimica y Minera de Chile SA, 3.50%, 09/10/51 (Call 03/10/51)(a)   400    291,575 
Telefonica Moviles Chile SA, 3.54%, 11/18/31 (Call 08/18/31)(a)(b)   250    207,469 
         12,005,593 
China — 8.8%          
Abu Dhabi National Energy Co. PJSC, 4.00%, 10/03/49(a)   200    174,350 
Agile Group Holdings Ltd., 6.88%, (Call 03/07/23)(a)(c)(d)   200    63,725 
Agricultural Bank of China Ltd./Hong Kong, 0.70%, 06/17/24(a)   200    189,188 
AIA Group Ltd., 2.70%, (Call 04/07/26)(a)(c)(d)   200    180,500 
Alibaba Group Holding Ltd.          
2.13%, 02/09/31 (Call 11/09/30)(b)   200    164,098 
2.70%, 02/09/41 (Call 08/09/40)   200    137,880 
3.25%, 02/09/61 (Call 08/09/60)   200    131,512 
3.40%, 12/06/27 (Call 09/06/27)   300    280,920 
3.60%, 11/28/24 (Call 08/28/24)   200    194,610 
4.00%, 12/06/37 (Call 06/06/37)   200    173,960 
4.20%, 12/06/47 (Call 06/06/47)   200    164,755 
4.50%, 11/28/34 (Call 05/28/34)   200    187,346 
Amipeace Ltd.          
1.75%, 11/09/26(a)   200    180,116 
2.50%, 12/05/24(a)   200    191,794 
Baidu Inc.          
2.38%, 08/23/31 (Call 05/23/31)(b)   200    164,766 
3.08%, 04/07/25 (Call 03/07/25)   200    190,724 
4.13%, 06/30/25   200    194,226 
Bank of China Ltd.          
5.00%, 11/13/24(a)(b)   400    400,120 
5.08%, 04/28/25(a)(d)   200    199,786 
Bank of China Ltd./Hong Kong, 3.88%, 06/30/25(a)   200    195,662 
Bank of China Ltd./Luxembourg, 1.40%, 04/28/26(a)   200    181,194 
Bank of Communications Co. Ltd., 3.80%, (Call 11/18/25)(a)(c)(d)   400    388,000 
Beijing Gas Singapore Capital Corp., 1.88%, 01/18/25(a)   200    187,606 
Bluestar Finance Holdings Ltd., 3.88%, (Call 06/24/23)(a)(c)(d)   200    198,000 
BOCOM International Blossom Ltd., 1.75%, 06/28/26(a)   200    180,324 
CCBL Cayman 1 Corp. Ltd., 1.80%, 07/22/26(a)   200    179,225 
CCCI Treasure Ltd., 3.43%, (Call 11/21/24)(a)(c)(d)   200    193,187 
CDBL Funding 2, 2.00%, 03/04/26(a)   200    182,458 
Central Plaza Development Ltd., 4.65%, 01/19/26 (Call 10/19/25)(a)   200    170,975 
Chalco Hong Kong Investment Co. Ltd., 2.10%, 07/28/26 (Call 06/28/26)(a)   200    181,094 
China Cinda 2020 I Management Ltd., 2.50%, 03/18/25 (Call 02/18/25)(a)   200    186,912 
China Cinda Finance 2015 I Ltd., 4.25%, 04/23/25(a)   400    387,075 
China Cinda Finance 2017 I Ltd.          
4.75%, 02/08/28(a)   200    193,787 
4.75%, 02/21/29(a)   200    192,475 
China Construction Bank Corp.          
2.85%, 01/21/32 (Call 01/21/27)(a)(d)   200    189,016 
4.25%, 02/27/29 (Call 02/27/24)(a)(d)   200    198,234 
4.80%, 12/21/24(a)(d)   200    198,800 
China Construction Bank Corp./Hong Kong, 1.25%, 08/04/25(a)   200    183,630 

 2

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security 

Par 

(000) 

   Value 
         
China (continued)          
China Construction Bank Corp./London, 3.13%, 05/17/25(a)   $200   $192,988 
China Great Wall International Holdings III Ltd., 3.88%, 08/31/27(a)   200    177,663 
China Mengniu Dairy Co. Ltd., 1.88%, 06/17/25 (Call 05/17/25)(a)   200    184,044 
China Overseas Finance Cayman VI Ltd., 6.45%, 06/11/34(a)   200    201,234 
China Railway Xunjie Co. Ltd., 4.00%, 07/06/27(a)   200    196,314 
China Resources Land Ltd., 3.75%, (Call 12/09/24)(a)(c)(d)   200    192,812 
China SCE Group Holdings Ltd., 7.38%, 04/09/24 (Call 03/02/23)(a)   200    125,000 
China State Construction Finance Cayman I Ltd., 3.40%, (Call 06/08/26)(a)(c)(d)   200    185,000 
CICC Hong Kong Finance MTN Ltd., 5.42%, 11/22/25   200    201,225 
CITIC Ltd.          
2.85%, 02/25/30(a)   200    172,820 
3.88%, 02/28/27(a)   200    194,170 
CMB International Leasing Management Ltd., 1.88%, 08/12/25(a)   200    182,538 
CMHI Finance BVI Co. Ltd., 3.50%, (Call 10/09/23)(a)(c)(d)   200    196,662 
CMS International Gemstone Ltd., 1.30%, 09/16/24(a)   200    186,600 
CNOOC Finance 2013 Ltd.          
2.88%, 09/30/29 (Call 06/30/29)   200    181,663 
3.30%, 09/30/49 (Call 03/30/49)   200    140,508 
CNOOC Finance 2014 ULC, 4.25%, 04/30/24   400    396,084 
CNOOC Finance 2015 USA LLC, 4.38%, 05/02/28(b)   200    198,990 
CNOOC Petroleum North America ULC          
5.88%, 03/10/35   100    103,644 
6.40%, 05/15/37   275    299,062 
7.50%, 07/30/39   150    180,923 
Contemporary Ruiding Development Ltd., 1.88%, 09/17/25 (Call 08/17/25)(a)   200    182,480 
COSL Singapore Capital Ltd., 4.50%, 07/30/25(a)   200    196,732 
Country Garden Holdings Co. Ltd.          
3.13%, 10/22/25 (Call 09/22/25)(a)   200    137,500 
3.30%, 01/12/31 (Call 10/12/30)(a)   200    115,000 
4.20%, 02/06/26 (Call 02/06/24)(a)   200    137,500 
5.40%, 05/27/25 (Call 05/27/23)(a)   200    151,500 
7.25%, 04/08/26 (Call 04/08/23)(a)   200    149,750 
CSCIF Asia Ltd., 1.13%, 06/10/24(a)   200    189,412 
Easy Tactic Ltd.          
7.50%, 07/11/25 (Call 03/02/23), (7.50% PIK)(e)   306    105,059 
7.50%, 07/11/27 (Call 03/02/23), (7.50% PIK)(e)   207    65,985 
7.50%, 07/11/28 (Call 03/02/23), (7.50% PIK)(e)   156    46,688 
Emirates NBD Bank PJSC, 6.13%, (Call 04/09/26)(a)(c)(d)   200    200,412 
ENN Clean Energy International Investment Ltd., 3.38%, 05/12/26 (Call 05/12/24)(a)   200    180,250 
ENN Energy Holdings Ltd., 2.63%, 09/17/30 (Call 06/17/30)(a)   200    167,100 
Fortune Star BVI Ltd., 5.95%, 10/19/25 (Call 10/19/23)(a)   200    175,663 
Franshion Brilliant Ltd., 6.00%, (Call 02/08/26)(a)(c)(d)   200    183,812 
Fuqing Investment management Co., 3.25%, 06/23/25(a)   200    158,000 
GLP China Holdings Ltd., 2.95%, 03/29/26(a)   200    157,750 
Horse Gallop Finance Ltd., 1.70%, 07/28/25(a)   200    183,100 
Huarong Finance 2017 Co. Ltd.          
4.25%, 11/07/27(a)   200    175,000 
4.75%, 04/27/27(a)   200    180,725 
Huarong Finance 2019 Co. Ltd.          
3.38%, 02/24/30 (Call 11/28/29)(a)   200    155,163 
3.75%, 05/29/24(a)   400    381,700 
4.50%, 05/29/29(a)   200    170,225 
Security 

Par 

(000) 

   Value 
         
China (continued)          
ICBCIL Finance Co. Ltd.          
1.63%, 11/02/24(a)  $200   $188,238 
2.70%, 01/27/27(a)   200    185,188 
3.75%, 03/05/24(a)   200    196,850 
Industrial & Commercial Bank of China Ltd., 3.20%, (Call 09/24/26)(a)(c)(d)   800    758,740 
Industrial & Commercial Bank of China Ltd./Hong Kong          
1.63%, 10/28/26(a)   200    179,736 
2.95%, 06/01/25(a)   200    192,114 
Industrial & Commercial Bank of China Ltd./New York NY,          
3.54%, 11/08/27   250    242,040 
Industrial & Commercial Bank of China Ltd./Singapore          
1.00%, 10/28/24(a)   200    187,614 
1.20%, 09/09/25(a)   200    182,788 
5.65%, 04/25/24, (3 mo. LIBOR US + 0.830%)(a)(d)   200    200,298 
Industrial & Commercial Bank of China Macau Ltd., 2.88%, 09/12/29 (Call 09/12/24)(a)(d)   200    192,100 
Industrial Bank Co. Ltd./Hong Kong, 0.88%, 06/10/24(a)   200    189,788 
JD.com Inc., 3.88%, 04/29/26   200    192,426 
Legend Fortune Ltd., 1.38%, 06/02/24(a)   200    190,294 
Lenovo Group Ltd.          
3.42%, 11/02/30 (Call 08/02/30)(a)   200    169,163 
5.83%, 01/27/28 (Call 12/27/27)(a)   200    202,066 
Leviathan Bond Ltd.          
6.13%, 06/30/25 (Call 03/30/25)(a)(g)   350    345,800 
6.75%, 06/30/30 (Call 12/30/29)(a)(g)   325    315,108 
Longfor Group Holdings Ltd., 3.95%, 09/16/29(a)   200    163,250 
MCC Holding Hong Kong Corp. Ltd., 2.95%, (Call 04/20/24)(a)(c)(d)   200    193,600 
Meituan          
2.13%, 10/28/25 (Call 09/28/25)(a)   200    181,100 
3.05%, 10/28/30 (Call 07/28/30)(a)   200    161,385 
Ooredoo International Finance Ltd., 2.63%, 04/08/31(a)   800    702,000 
Pioneer Reward Ltd., 1.30%, 04/09/24(a)   200    191,625 
Prosus NV          
3.26%, 01/19/27 (Call 12/19/26)(a)   400    363,000 
4.19%, 01/19/32 (Call 10/19/31)(a)   500    428,387 
4.85%, 07/06/27 (Call 04/06/27)(a)   400    383,700 
RKPF Overseas 2020 A Ltd., 5.13%, 07/26/26 (Call 07/26/24)(a)   200    160,500 
Saudi Arabian Oil Co., 3.50%, 11/24/70 (Call 05/24/70)(a)   800    556,900 
SF Holding Investment 2021 Ltd., 3.13%, 11/17/31(a)   200    172,656 
Shanghai Port Group BVI Development 2 Co. Ltd., 2.38%, 07/13/30 (Call 04/13/30)(a)   200    171,394 
Shanghai Pudong Development Bank Co. Ltd./Hong Kong, 0.88%, 07/13/24(a)   200    188,856 
Sino-Ocean Land Treasure Finance II Ltd., 5.95%, 02/04/27(a)   200    155,675 
Sino-Ocean Land Treasure IV Ltd., 2.70%, 01/13/25 (Call 12/13/24)(a)   200    163,375 
State Elite Global Ltd., 5.59%, 10/24/24, (3 mo. LIBOR US + 0.770%)(a)(d)   200    199,818 
Tencent Holdings Ltd.          
1.81%, 01/26/26 (Call 12/26/25)(a)   200    182,928 
2.39%, 06/03/30 (Call 03/03/30)(a)   200    168,032 
2.88%, 04/22/31 (Call 01/22/31)(a)   200    171,732 
3.24%, 06/03/50 (Call 12/03/49)(a)   200    137,038 
3.28%, 04/11/24 (Call 03/11/24)(a)   200    196,750 
3.58%, 04/11/26 (Call 02/11/26)(a)   200    191,030 
3.60%, 01/19/28 (Call 10/19/27)(a)(b)   300    283,275 

 3

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security 

Par 

(000) 

   Value 
         
China (continued)          
3.84%, 04/22/51 (Call 10/22/50)(a)  $200   $152,302 
3.94%, 04/22/61 (Call 10/22/60)(a)   200    148,706 
3.98%, 04/11/29 (Call 01/11/29)(a)   200    188,662 
4.53%, 04/11/49 (Call 10/11/48)(a)(b)   200    172,750 
Turkiye Vakiflar Bankasi TAO, 5.25%, 02/05/25(a)   400    376,075 
Vanke Real Estate Hong Kong Co. Ltd., 4.20%, 06/07/24(a)   200    194,100 
Vigorous Champion International Ltd., 2.75%, 06/02/25(a)   200    186,304 
Weibo Corp., 3.38%, 07/08/30 (Call 04/08/30)   200    167,000 
Westwood Group Holdings Ltd., 2.80%, 01/20/26(a)   200    178,250 
Xiaomi Best Time International Ltd., 3.38%, 04/29/30          
(Call 01/29/30)(a)   200    167,538 
         27,678,524 
Colombia — 4.3%          
AI Candelaria Spain SLU, 5.75%, 06/15/33 (Call 06/15/28)(a)   400    311,000 
Avianca Midco 2 Ltd., 9.00%, 12/01/28 (Call 12/01/24)(a)   950    712,500 
Banco Davivienda SA, 6.65%, (Call 04/22/31)(a)(c)(d)   200    157,250 
Banco de Bogota SA, 6.25%, 05/12/26(a)   600    592,987 
Bancolombia SA          
3.00%, 01/29/25 (Call 12/29/24)   600    567,112 
4.63%, 12/18/29 (Call 12/18/24)(d)   400    362,920 
7.14%, 10/18/27(d)   400    397,000 
Canacol Energy Ltd., 5.75%, 11/24/28 (Call 11/24/24)(a)   400    354,075 
Colombia Telecomunicaciones SA ESP, 4.95%, 07/17/30 (Call 04/17/30)(a)   400    345,825 
Ecopetrol SA          
4.13%, 01/16/25   683    659,949 
4.63%, 11/02/31 (Call 08/02/31)   750    590,662 
5.38%, 06/26/26 (Call 03/26/26)   885    852,410 
5.88%, 05/28/45   1,200    859,350 
5.88%, 11/02/51 (Call 05/02/51)(b)   450    311,063 
6.88%, 04/29/30 (Call 01/29/30)   1,300    1,211,899 
7.38%, 09/18/43   475    412,656 
8.88%, 01/13/33 (Call 10/13/32)   1,000    1,023,800 
EnfraGen Energia Sur SA, 5.38%, 12/30/30 (Call 12/30/25)   400    288,312 
Geopark Ltd., 5.50%, 01/17/27 (Call 01/17/24)(a)   200    177,413 
Grupo Aval Ltd., 4.38%, 02/04/30 (Call 11/04/29)(a)   600    494,220 
Grupo de Inversiones Suramericana SA, 5.50%, 04/29/26 (Call 01/29/26)   400    388,450 
Millicom International Cellular SA          
4.50%, 04/27/31 (Call 04/27/26)(a)(b)   600    507,900 
6.25%, 03/25/29 (Call 03/25/24)(a)   360    331,200 
Oleoducto Central SA, 4.00%, 07/14/27 (Call 04/14/27)(a)   200    176,913 
Promigas SA ESP/Gases del Pacifico SAC, 3.75%, 10/16/29 (Call 07/16/29)(a)   400    331,660 
Sierracol Energy Andina Co., 6.00%, 06/15/28 (Call 06/15/24)(a)   400    329,950 
SURA Asset Management SA, 4.88%, 04/17/24(a)   300    296,494 
Transportadora de Gas Internacional SA ESP, 5.55%, 11/01/28 (Call 08/01/28)(a)(b)   400    377,825 
         13,422,795 
Egypt — 0.2%          
Banco do Brasil SA/Cayman, 4.63%, 01/15/25   200    195,500 
YPF SA, 9.00%, 06/30/29 (Call 12/30/28)   450    388,209 
         583,709 
Ghana — 0.5%          
Kosmos Energy Ltd., 7.13%, 04/04/26 (Call 03/02/23)(a)   400    359,946 
Security 

Par 

(000) 

   Value 
         
Ghana (continued)          
Tullow Oil PLC          
7.00%, 03/01/25 (Call 03/02/23)(a)   $600  $426,000 
10.25%, 05/15/26 (Call 05/15/23)(a)   978    838,635 
         1,624,581 
Guatemala — 0.5%          
Central American Bottling Corp./CBC Bottling Holdco SL/Beliv          
Holdco SL, 5.25%, 04/27/29 (Call 04/27/26)(a)   800    763,232 
CT Trust, 5.13%, 02/03/32 (Call 02/03/27)(a)   600    523,500 
Investment Energy Resources Ltd., 6.25%, 04/26/29 (Call 04/26/25)(a)   400    381,075 
         1,667,807 
Hong Kong — 4.9%          
Adani Green Energy Ltd., 4.38%, 09/08/24(a)   200    152,000 
AIA Group Ltd.          
3.20%, 03/11/25 (Call 12/11/24)(a)   200    192,975 
3.20%, 09/16/40 (Call 03/16/40)(a)(b)   400    304,836 
3.38%, 04/07/30 (Call 01/07/30)(a)(b)   200    183,548 
3.60%, 04/09/29 (Call 01/09/29)(a)   200    186,975 
4.50%, 03/16/46 (Call 09/16/45)(a)   200    179,866 
5.63%, 10/25/27 (Call 09/25/27)(a)   200    207,388 
Bank of China Hong Kong Ltd., 5.90%, (Call 09/14/23)(a)(c)(d)   600    601,500 
Bank of Communications Hong Kong Ltd., 2.30%, 07/08/31 (Call 07/08/26)(a)(d)   250    227,990 
Bank of East Asia Ltd. (The)          
5.83%, (Call 10/21/25)(a)(c)(d)   250    237,500 
5.88%, (Call 09/19/24)(a)(c)(d)   250    242,703 
Bocom Leasing Management Hong Kong Co. Ltd., 5.81%, 12/10/24, (3 mo. LIBOR US + 1.075%)(a)(d)   200    199,000 
CAS Capital No. 1 Ltd., 4.00%, (Call 07/12/26)(a)(c)(d)   200    176,600 
Castle Peak Power Finance Co. Ltd., 3.25%, 07/25/27(a)   200    189,600 
Celestial Miles Ltd., 5.75%, (Call 01/31/24)(a)(c)(d)   200    196,162 
China CITIC Bank International Ltd.          
4.63%, 02/28/29 (Call 02/28/24)(a)(d)   250    247,625 
7.10%, (Call 11/06/23)(a)(c)(d)   200    202,000 
CLP Power HK Finance Ltd., 3.55%, (Call 11/06/24)(a)(c)(d)   200    191,412 
CNCBINV 1 BVI Ltd., 1.75%, 11/17/24(a)   200    186,537 
FWD Group Ltd.          
6.38%, (Call 09/13/24)(a)(c)(d)   200    185,725 
8.05%, (Call 06/15/23)(a)(c)(d)   200    190,912 
Galaxy Pipeline Assets Bidco Ltd., 2.16%, 03/31/34(a)   555    479,226 
Henderson Land MTN Ltd., 2.38%, 05/27/25(a)   200    186,413 
HKT Capital No. 4 Ltd., 3.00%, 07/14/26(a)   200    185,913 
HKT Capital No. 6 Ltd., 3.00%, 01/18/32 (Call 10/18/31)(a)   200    169,146 
Hongkong Electric Finance Ltd.          
1.88%, 08/27/30 (Call 02/27/30)(a)   200    162,225 
2.88%, 05/03/26(a)   200    187,975 
Hongkong Land Finance Cayman Islands Co. Ltd. (The)          
2.25%, 07/15/31 (Call 04/15/31)(a)   200    164,010 
2.88%, 05/27/30 (Call 02/27/30)(a)   200    175,350 
HPHT Finance 19 Ltd., 2.88%, 11/05/24(a)   200    191,850 
HPHT Finance 21 Ltd., 2.00%, 03/19/26 (Call 02/19/26)(a)   200    182,176 
Hysan MTN Ltd., 2.82%, 09/04/29(a)   200    177,725 
IFC Development Corporate Treasury Ltd., 3.63%, 04/17/29(a)   200    186,225 
Inventive Global Investments Ltd., 1.65%, 09/03/25(a)   200    182,608 
JMH Co. Ltd., 2.50%, 04/09/31 (Call 01/09/31)(a)   200    168,272 
Joy Treasure Assets Holdings Inc., 3.50%, 09/24/29 (Call 06/24/29)(a)   200    173,398 
Li & Fung Ltd., 5.25%, (Call 05/03/23)(a)(c)   200    123,250 

 4

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security 

Par 

(000) 

   Value 
         
Hong Kong (continued)          
Link Finance Cayman 2009 Ltd. (The), 2.75%, 01/19/32(a)  $200   $170,796 
Melco Resorts Finance Ltd.          
4.88%, 06/06/25 (Call 03/02/23)(a)(b)   400    376,000 
5.25%, 04/26/26 (Call 03/02/23)(a)   400    372,000 
5.38%, 12/04/29 (Call 12/04/24)(a)   800    686,000 
5.63%, 07/17/27 (Call 03/02/23)(a)(b)   600    544,237 
5.75%, 07/21/28 (Call 07/21/23)(a)   400    358,000 
MTR Corp. Ltd., 1.63%, 08/19/30(a)   400    327,200 
Nan Fung Treasury III Ltd., 5.00%, (Call 09/10/23)(a)(c)   200    165,788 
Nanyang Commercial Bank Ltd., 3.80%, 11/20/29 (Call 11/20/24)(a)(d)   250    239,109 
NWD Finance BVI Ltd.          
4.13%, (Call 03/10/28)(a)(c)(d)   200    159,850 
4.80%, (Call 09/09/23)(a)(c)   200    144,000 
5.25%, (Call 03/22/26)(a)(c)(d)   200    187,000 
6.15%, (Call 03/16/25)(a)(c)(d)   200    194,500 
6.25%, (Call 03/07/24)(a)(c)   200    169,500 
NWD MTN Ltd., 4.13%, 07/18/29(a)   200    171,622 
PCPD Capital Ltd., 5.13%, 06/18/26 (Call 06/18/24)(a)   200    170,163 
Phoenix Lead Ltd., 4.85%, (Call 08/23/23)(a)(c)   200    177,725 
Prudential PLC          
2.95%, 11/03/33 (Call 08/03/28)(a)(d)   200    174,000 
3.13%, 04/14/30   200    180,312 
4.88%, (Call 04/20/23)(a)(c)   200    174,038 
Sands China Ltd., 5.63%, 08/08/25 (Call 06/08/25)   1,200    1,183,500 
Seaspan Corp., 5.50%, 08/01/29 (Call 08/01/24)(a)   100    75,155 
SingTel Group Treasury Pte Ltd., 1.88%, 06/10/30 (Call 03/10/30)(a)   300    248,869 
Sun Hung Kai Properties Capital Market Ltd.          
2.88%, 01/21/30(a)   200    176,800 
3.75%, 02/25/29(a)   200    187,537 
Swire Pacific MTN Financing HK Ltd., 2.88%, 01/30/30 (Call 10/30/29)(a)   200    175,538 
Swire Properties MTN Financing Ltd., 3.63%, 01/13/26(a)   200    192,850 
Wharf REIC Finance BVI Ltd., 3.50%, 01/17/28(a)   200    187,600 
         15,348,305 
India — 4.4%          
ABJA Investment Co. Pte Ltd.          
5.45%, 01/24/28(a)   200    194,500 
5.95%, 07/31/24(a)   400    397,000 
Adani Electricity Mumbai Ltd., 3.95%, 02/12/30(a)   400    298,000 
Adani Green Energy UP Ltd./Prayatna Developers Pvt          
Ltd./Parampujya Solar Energy, 6.25%, 12/10/24(a)   200    184,000 
Adani Ports & Special Economic Zone Ltd.          
3.10%, 02/02/31(a)   200    142,250 
3.38%, 07/24/24   200    179,625 
4.20%, 08/04/27 (Call 02/04/27)(a)   400    325,000 
4.38%, 07/03/29(a)   200    158,000 
Adani Transmission Ltd., 4.00%, 08/03/26(a)   200    164,000 
Axis Bank Ltd., 4.10%, (Call 09/08/26)(a)(c)(d)   200    176,500 
Bharat Petroleum Corp. Ltd., 4.00%, 05/08/25(a)   200    193,037 
Bharti Airtel International Netherlands BV, 5.35%, 05/20/24(a)   200    199,938 
Bharti Airtel Ltd.          
3.25%, 06/03/31 (Call 03/05/31)(a)   200    171,762 
4.38%, 06/10/25(a)   200    195,162 
BPRL International Singapore Pte Ltd., 4.38%, 01/18/27(a)   200    190,412 
CA Magnum Holdings, 5.38%, 10/31/26 (Call 10/31/23)(a)   400    368,000 
Continuum Energy Levanter Pte Ltd., 4.50%, 02/09/27 (Call 02/09/24)(a)   194    173,183 
Delhi International Airport Ltd., 6.13%, 10/31/26(a)   400    386,700 
Security 

Par 

(000) 

   Value 
         
India (continued)          
Greenko Dutch BV, 3.85%, 03/29/26 (Call 03/29/23)(a)   $382  $339,502 
Greenko Power II Ltd., 4.30%, 12/13/28 (Call 12/14/24)(a)   191    164,738 
Greenko Solar Mauritius Ltd.          
5.55%, 01/29/25   200    190,000 
5.95%, 07/29/26 (Call 07/29/23)(a)   200    186,000 
Greenko Wind Projects Mauritius Ltd., 5.50%, 04/06/25 (Call 04/06/24)(a)   200    188,288 
HCL America Inc., 1.38%, 03/10/26 (Call 02/10/26)(a)   200    177,850 
HDFC Bank Ltd., 3.70%, (Call 08/25/26)(a)(c)(d)   400    349,000 
Hindustan Petroleum Corp. Ltd., 4.00%, 07/12/27(a)   200    189,537 
ICICI Bank Ltd./Dubai, 4.00%, 03/18/26(a)   450    431,803 
Indian Railway Finance Corp. Ltd.          
2.80%, 02/10/31(a)   200    167,402 
3.25%, 02/13/30(a)   200    175,475 
3.57%, 01/21/32(a)   200    175,012 
3.73%, 03/29/24(a)   200    196,100 
JSW Hydro Energy Ltd., 4.13%, 05/18/31 (Call 05/18/26)(a)   177    150,450 
JSW Steel Ltd.          
3.95%, 04/05/27 (Call 10/05/26)(a)   200    176,000 
5.05%, 04/05/32 (Call 10/05/31)(a)   200    167,913 
Network i2i Ltd.          
3.98%, (Call 06/03/26)   200    180,413 
5.65%, (Call 01/15/25)(a)(c)(d)   400    384,825 
NTPC Ltd., 4.25%, 02/26/26(a)   200    193,600 
Oil India Ltd.          
5.13%, 02/04/29(a)   400    390,700 
5.38%, 04/17/24(a)   200    199,350 
ONGC Videsh Ltd., 4.63%, 07/15/24(a)   200    196,912 
ONGC Videsh Vankorneft Pte Ltd., 3.75%, 07/27/26(a)   200    188,163 
Periama Holdings LLC/DE, 5.95%, 04/19/26(a)   200    191,975 
Power Finance Corp. Ltd.          
3.35%, 05/16/31(a)   200    166,338 
3.95%, 04/23/30(a)   200    176,038 
4.50%, 06/18/29(a)   400    372,075 
REC Ltd.          
2.25%, 09/01/26(a)   200    177,163 
3.38%, 07/25/24(a)   200    193,287 
Reliance Industries Ltd.          
2.88%, 01/12/32(a)   600    497,808 
3.63%, 01/12/52(a)   400    284,212 
3.67%, 11/30/27(a)   250    235,140 
3.75%, 01/12/62(a)   400    280,575 
4.13%, 01/28/25(a)   250    244,109 
6.25%, 10/19/40(a)   250    263,094 
ReNew Wind Energy AP2/ReNew Power Pvt Ltd. other 9          
Subsidiaries, 4.50%, 07/14/28 (Call 10/14/23)(a)   200    170,500 
Shriram Transport Finance Co. Ltd., 4.40%, 03/13/24   200    192,000 
State Bank of India/London          
1.80%, 07/13/26(a)   200    178,760 
4.88%, 04/17/24(a)   200    199,102 
Vedanta Resources Finance II PLC          
8.95%, 03/11/25 (Call 09/11/24)(a)   400    313,000 
9.25%, 04/23/26 (Call 04/23/23)(a)(b)   200    151,500 
Vedanta Resources Ltd., 6.13%, 08/09/24 (Call 08/09/23)(a)   200    151,250 
Wipro IT Services LLC, 1.50%, 06/23/26 (Call 05/23/26)(a)   200    177,475 
         13,871,503 
Indonesia — 3.0%          
Adaro Indonesia PT, 4.25%, 10/31/24 (Call 03/02/23)(a)   500    479,469 

 5

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security 

Par 

(000) 

   Value 
         
Indonesia (continued)          
Bank Mandiri Persero Tbk PT          
3.75%, 04/11/24(a)   $200  $196,413 
4.75%, 05/13/25(a)   600    594,862 
Bank Negara Indonesia Persero Tbk PT          
3.75%, 03/30/26(a)   200    187,522 
4.30%, (Call 03/24/27)(a)(c)(d)   400    343,044 
Bank Rakyat Indonesia Persero Tbk PT, 3.95%, 03/28/24(a)   300    295,533 
Cikarang Listrindo Tbk PT, 4.95%, 09/14/26 (Call 03/02/23)(a)(b)   400    378,075 
Freeport Indonesia PT          
4.76%, 04/14/27 (Call 03/14/27)(a)   500    485,055 
5.32%, 04/14/32 (Call 01/01/32)(a)   1,000    947,610 
6.20%, 04/14/52 (Call 10/14/51)   500    461,250 
Indika Energy Capital IV Pte Ltd., 8.25%, 10/22/25 (Call 10/22/23)(a)   250    248,750 
Indofood CBP Sukses Makmur Tbk PT          
3.40%, 06/09/31 (Call 12/09/30)(a)   800    676,088 
3.54%, 04/27/32 (Call 10/27/31)(a)   400    335,044 
4.75%, 06/09/51 (Call 12/09/50)(a)   400    310,044 
LLPL Capital Pte Ltd., 6.88%, 02/04/39(a)   341    310,565 
Medco Bell Pte Ltd., 6.38%, 01/30/27 (Call 01/30/24)(a)   400    380,000 
Medco Oak Tree Pte Ltd., 7.38%, 05/14/26 (Call 05/14/23)(a)   400    397,400 
Minejesa Capital BV          
4.63%, 08/10/30(a)   800    739,200 
5.63%, 08/10/37(a)   600    519,300 
Perusahaan Gas Negara Tbk PT, 5.13%, 05/16/24(a)   700    695,100 
Star Energy Geothermal Darajat II/Star Energy Geothermal          
Salak, 4.85%, 10/14/38 (Call 10/14/29)(a)   400    347,575 
         9,327,899 
Israel — 3.0%          
Bank Hapoalim BM, 3.26%, 01/21/32 (Call 10/21/26)(a)(d)(g)   600    527,250 
Bank Leumi Le-Israel BM          
3.28%, 01/29/31 (Call 01/29/26)(a)(d)(g)   400    364,125 
5.13%, 07/27/27 (Call 06/27/27)(a)(g)   200    199,550 
7.13%, 07/18/33 (Call 04/18/28)(a)(d)(g)   200    205,500 
Energean Israel Finance Ltd., 5.88%, 03/30/31 (Call 09/30/30)(a)(g)   350    313,863 
ICL Group Ltd., 6.38%, 05/31/38 (Call 11/30/37)(a)(g)   400    404,000 
Israel Discount Bank Ltd., 5.38%, 01/26/28   200    199,000 
Israel Electric Corp. Ltd.          
3.75%, 02/22/32(a)(g)   200    177,600 
4.25%, 08/14/28(a)(g)   600    572,737 
Series 6, 5.00%, 11/12/24(a)(g)   700    696,500 
Mizrahi Tefahot Bank Ltd., 3.08%, 04/07/31 (Call 04/07/26)(a)(d)(g)   400    358,000 
Teva Pharmaceutical Finance Co. LLC, 6.15%, 02/01/36(b)   500    463,375 
Teva Pharmaceutical Finance Netherlands III BV          
3.15%, 10/01/26   1,750    1,562,558 
4.10%, 10/01/46   1,050    720,431 
4.75%, 05/09/27 (Call 02/09/27)(b)   400    369,250 
5.13%, 05/09/29 (Call 02/09/29)(b)   350    323,680 
6.00%, 04/15/24 (Call 01/15/24)   600    594,375 
6.75%, 03/01/28 (Call 12/01/27)   700    702,359 
7.13%, 01/31/25 (Call 10/31/24)   600    605,505 
         9,359,658 
Jamaica — 0.2%          
Digicel International Finance Ltd./Digicel international          
Holdings Ltd., 8.75%, 05/25/24 (Call 02/15/23)(a)   800    687,494 
Security 

Par 

(000) 

   Value 
         
Jordan — 0.1%          
Hikma Finance USA LLC, 3.25%, 07/09/25(a)   $400  $376,024 
           
Kazakhstan — 1.5%          

Energean Israel Finance Ltd., 5.38%, 03/30/28 (Call 09/30/27)(a)(g) 

   150    137,550 
KazMunayGas National Co. JSC          
3.50%, 04/14/33 (Call 10/14/32)(a)   600    455,628 
4.75%, 04/19/27(a)   600    556,875 
5.38%, 04/24/30(a)   800    738,000 
5.75%, 04/19/47(a)   800    638,914 
6.38%, 10/24/48(a)   900    769,500 
Tengizchevroil Finance Co. International Ltd.          
2.63%, 08/15/25 (Call 05/15/25)(a)   400    358,000 
3.25%, 08/15/30 (Call 02/15/30)(a)   600    452,250 
4.00%, 08/15/26(a)   500    442,594 
         4,549,311 
Kuwait — 1.9%          
Boubyan Sukuk Ltd.          
2.59%, 02/18/25(a)   400    380,450 
3.39%, 03/29/27(a)   400    378,700 
Burgan Bank SAK          
2.75%, 12/15/31 (Call 09/15/26)(a)(d)   400    315,450 
5.75%, (Call 07/09/24)(a)(c)(d)   200    184,412 
Equate Petrochemical BV          
2.63%, 04/28/28 (Call 01/28/28)(a)   400    355,450 
4.25%, 11/03/26(a)   800    780,880 
Kuwait Projects Co. SPC Ltd.          
4.23%, 10/29/26(a)   200    175,163 
4.50%, 02/23/27(a)   400    339,950 
Leviathan Bond Ltd., 6.50%, 06/30/27 (Call 12/30/26)(a)(g)   300    295,125 
MEGlobal Canada ULC          
5.00%, 05/18/25(a)   600    596,700 
5.88%, 05/18/30(a)   400    414,325 
NBK SPC Ltd., 1.63%, 09/15/27 (Call 09/15/26),          
(1 day SOFR + 1.050%)(a)(d)   800    711,000 
NBK Tier 1 Financing 2 Ltd., 4.50%, (Call 08/27/25)(a)(c)(d)   400    375,325 
NBK Tier 1 Financing Ltd., 3.63%, (Call 08/24/26)(a)(c)(d)   400    355,000 
Warba Sukuk Ltd., 2.98%, 09/24/24(a)   400    386,075 
         6,044,005 
Luxembourg — 0.4%          
Altice Financing SA          
5.00%, 01/15/28 (Call 03/02/23)(a)   600    510,174 
5.75%, 08/15/29 (Call 08/15/24)   1,000    837,600 
         1,347,774 
Macau — 2.9%          
Champion Path Holdings Ltd.          
4.50%, 01/27/26 (Call 01/27/24)(a)   400    361,000 
4.85%, 01/27/28 (Call 01/27/25)(a)   300    260,025 
MGM China Holdings Ltd.          
4.75%, 02/01/27 (Call 02/01/24)(a)   400    360,500 
5.25%, 06/18/25 (Call 06/18/23)(a)   200    189,787 
5.38%, 05/15/24 (Call 05/15/23)(a)   500    485,000 
5.88%, 05/15/26 (Call 02/10/23)(a)   500    472,594 
Sands China Ltd.          
2.80%, 03/08/27 (Call 02/08/27)   400    349,500 
3.35%, 03/08/29 (Call 01/08/29)   400    339,500 
3.75%, 08/08/31 (Call 05/08/31)   300    247,500 
4.30%, 01/08/26 (Call 12/08/25)(b)   600    565,860 
4.88%, 06/18/30 (Call 03/18/30)   400    362,000 

 6

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

  

Security 

Par 

(000) 

   Value 
         
Macau (continued)          
5.90%, 08/08/28 (Call 05/08/28)(b)   $1,200   $1,170,000 
Studio City Finance Ltd.          
5.00%, 01/15/29 (Call 01/15/24)(a)   700    563,059 
6.00%, 07/15/25 (Call 07/07/23)(a)   200    185,500 
6.50%, 01/15/28 (Call 07/07/23)(a)   400    355,000 
Wynn Macau Ltd.          
4.88%, 10/01/24 (Call 03/02/23)(a)   400    384,000 
5.13%, 12/15/29 (Call 12/15/24)(a)   600    497,250 
5.50%, 01/15/26 (Call 03/02/23)(a)   600    561,000 
5.50%, 10/01/27 (Call 10/01/23)(a)   600    537,000 
5.63%, 08/26/28 (Call 08/26/23)(a)   800    708,000 
         8,954,075 
Malaysia — 1.7%          
Axiata SPV2 Bhd          
2.16%, 08/19/30 (Call 05/19/30)(a)   400    333,700 
4.36%, 03/24/26(a)   200    195,600 
Axiata SPV5 Labuan Ltd., 3.06%, 08/19/50 (Call 02/19/50)(a)   600    428,202 
CIMB Bank Bhd          
2.13%, 07/20/27(a)   200    178,725 
5.59%, 10/09/24, (3 mo. LIBOR US + 0.780%)(a)(d)   600    598,425 
Genm Capital Labuan Ltd., 3.88%, 04/19/31 (Call 01/19/31)(a)   600    483,840 
Gohl Capital Ltd., 4.25%, 01/24/27(a)   900    826,875 
Malayan Banking Bhd, 5.44%, 08/16/24,          
(3 mo. LIBOR US + 0.800%)(a)(d)   600    599,362 
Misc Capital Two Labuan Ltd., 3.75%, 04/06/27 (Call 03/06/27)(a)   400    371,700 
RBH Bank, 1.66%, 06/29/26(a)   400    357,592 
TNB Global Ventures Capital Bhd          
3.24%, 10/19/26(a)   400    371,450 
4.85%, 11/01/28(a)   500    493,844 
         5,239,315 
Mexico — 4.7%          
Alfa SAB de CV, 6.88%, 03/25/44 (Call 09/25/43)(a)(b)   200    203,437 
Alpek SAB de CV, 4.25%, 09/18/29 (Call 06/18/29)(a)   200    183,400 
Alsea SAB de CV, 7.75%, 12/14/26 (Call 12/14/23)(a)(b)   200    201,725 
America Movil SAB de CV          
2.88%, 05/07/30 (Call 02/07/30)   200    175,000 
3.63%, 04/22/29 (Call 01/22/29)   200    186,020 
4.38%, 07/16/42   200    181,600 
4.38%, 04/22/49 (Call 10/22/48)(b)   400    359,084 
4.70%, 07/21/32 (Call 04/21/32)   200    196,470 
5.38%, 04/04/32 (Call 01/04/32)(a)   200    185,750 
6.13%, 03/30/40   500    544,490 
6.38%, 03/01/35   250    277,469 
Banco Inbursa SA Institucion De Banca Multiple Grupo          
Financiero Inbursa          
4.13%, 06/06/24(a)   300    295,369 
4.38%, 04/11/27 (Call 01/11/27)(a)   150    143,606 
Banco Mercantil del Norte SA/Grand Cayman          
5.88%, (Call 01/24/27)(a)(c)(d)   200    184,413 
6.63%, (Call 01/24/32)(a)(c)(d)   200    176,288 
6.75%, (Call 09/27/24)(a)(b)(c)(d)   200    195,475 
8.38%, (Call 10/14/30)(a)(c)(d)   200    204,850 
Banco Santander Mexico SA Institucion de Banca Multiple          
Grupo Financiero Santand          
5.38%, 04/17/25(a)   500    499,375 
5.95%, 10/01/28 (Call 10/01/23)   200    199,475 
Security 

Par 

(000) 

   Value 
         
Mexico (continued)          
BBVA Bancomer SA/Texas          
1.88%, 09/18/25(a)   $200   $183,850 
4.38%, 04/10/24(a)(b)   200    197,350 
5.13%, 01/18/33 (Call 01/17/28)(a)(d)   200    189,100 
5.88%, 09/13/34 (Call 09/13/29)(a)(d)   200    191,975 
Becle SAB de CV, 2.50%, 10/14/31 (Call 07/14/31)(a)   200    158,163 
Braskem Idesa SAPI          
6.99%, 02/20/32 (Call 02/20/27)(a)   200    147,120 
7.45%, 11/15/29 (Call 11/15/24)(a)   200    164,175 
Cemex SAB de CV          
3.88%, 07/11/31 (Call 07/11/26)(a)   200    168,250 
5.20%, 09/17/30 (Call 09/17/25)(a)   200    186,787 
5.45%, 11/19/29 (Call 11/19/24)(a)   200    192,215 
7.38%, 06/05/27 (Call 06/05/23)(a)   200    205,350 
Cemex SAB De CV, 5.13%, (Call 06/08/26)(a)(c)(d)   200    183,500 
Cibanco SA Ibm/PLA Administradora Industrial S de RL de CV, 4.96%, 07/18/29 (Call 04/18/29)(a)   200    188,162 
Coca-Cola Femsa SAB de CV          
1.85%, 09/01/32 (Call 06/01/32)   300    237,124 
2.75%, 01/22/30 (Call 10/22/29)   200    178,298 
Cometa Energia SA de CV, 6.38%, 04/24/35 (Call 01/24/35)(a)(b)   171    168,326 
FEL Energy VI Sarl, 5.75%, 12/01/40 (Call 12/01/37)   185    160,224 
Fomento Economico Mexicano SAB de CV          
3.50%, 01/16/50 (Call 07/16/49)   600    451,566 
4.38%, 05/10/43   150    128,700 
Fresnillo PLC, 4.25%, 10/02/50 (Call 04/02/50)(a)(b)   200    162,288 
Grupo Aeromexico SAB de CV, 8.50%, 03/17/27 (Call 03/17/24)(a)   200    179,625 
Grupo Bimbo SAB de CV          
3.88%, 06/27/24   200    196,100 
4.00%, 09/06/49 (Call 03/06/49)   200    161,600 
4.70%, 11/10/47 (Call 05/10/47)(a)(b)   200    179,163 
4.88%, 06/27/44(a)   200    182,163 
Grupo Televisa SAB          
5.00%, 05/13/45 (Call 11/13/44)(b)   200    181,850 
5.25%, 05/24/49 (Call 11/24/48)   200    186,537 
6.13%, 01/31/46 (Call 06/30/45)(b)   200    208,475 
6.63%, 01/15/40   200    214,300 
Industrias Penoles SAB de CV          
4.15%, 09/12/29 (Call 06/12/29)(a)   200    185,912 
4.75%, 08/06/50 (Call 02/06/50)(a)   200    171,475 
Infraestructura Energetica Nova SAB de CV          
4.75%, 01/15/51 (Call 07/15/50)(a)   200    156,538 
4.88%, 01/14/48(a)   200    158,288 
Kimberly-Clark de Mexico SAB de CV, 2.43%, 07/01/31 (Call 04/01/31)(a)   200    168,000 
Mexico Remittances Funding Fiduciary Estate Management Sarl, 4.88%, 01/15/28   200    183,850 
Minera Mexico SA de CV, 4.50%, 01/26/50 (Call 07/26/49)(a)   200    159,504 
Nemak SAB de CV, 3.63%, 06/28/31 (Call 03/28/31)(a)   200    160,650 
Orbia Advance Corp. SAB de CV          
1.88%, 05/11/26 (Call 04/11/26)(a)   200    177,125 
2.88%, 05/11/31 (Call 02/11/31)(a)   200    160,800 
4.00%, 10/04/27 (Call 07/04/27)(a)   200    186,400 
5.50%, 01/15/48 (Call 07/15/47)(a)   200    174,725 
Sigma Alimentos SA de CV, 4.13%, 05/02/26 (Call 02/02/26)(a)   400    385,825 
Southern Copper Corp.          
3.88%, 04/23/25   150    145,031 

 7

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security 

Par 

(000) 

   Value 
         
Mexico (continued)          
5.25%, 11/08/42  $300   $294,352 
5.88%, 04/23/45(b)   420    444,528 
6.75%, 04/16/40   300    341,962 
7.50%, 07/27/35   200    237,037 
Total Play Telecomunicaciones SA de CV, 6.38%, 09/20/28 (Call 09/30/25)(a)   200    168,153 
Trust Fibra Uno          
4.87%, 01/15/30 (Call 10/28/29)(a)   200    183,385 
5.25%, 01/30/26 (Call 10/30/25)(a)   200    194,625 
6.39%, 01/15/50 (Call 07/28/49)(a)   200    173,815 
6.95%, 01/30/44 (Call 07/30/43)(a)   200    183,600 
         14,921,212 
Moldova — 0.1%          
Aragvi Finance International SR, 8.45%, 04/29/26 (Call 04/29/24)(a)   400    288,075 
           
Morocco — 0.6%          
OCP SA          
3.75%, 06/23/31 (Call 03/23/31)(a)   300    252,750 
4.50%, 10/22/25(a)   400    387,700 
5.13%, 06/23/51 (Call 12/23/50)(a)   600    465,000 
5.63%, 04/25/24(a)   525    521,325 
6.88%, 04/25/44(a)   400    385,000 
         2,011,775 
Nigeria — 0.6%          
Access Bank PLC          
6.13%, 09/21/26(a)   200    176,000 
9.13%, (Call 10/07/26)(a)(c)(d)   400    329,950 
IHS Holding Ltd.          
5.63%, 11/29/26 (Call 11/29/23)(a)   200    167,670 
6.25%, 11/29/28 (Call 11/29/24)(a)   400    327,426 
IHS Netherlands Holdco BV, 8.00%, 09/18/27 (Call 03/02/23)(a)   600    538,988 
SEPLAT Energy PLC, 7.75%, 04/01/26 (Call 04/01/23)(a)   400    347,200 
         1,887,234 
Oman — 0.2%          
Bank Muscat SAOG, 4.75%, 03/17/26(a)   400    386,825 
Oztel Holdings SPC Ltd., 6.63%, 04/24/28   350    362,753 
         749,578 
Panama — 0.7%          
AES Panama Generation Holdings SRL, 4.38%, 05/31/30 (Call 02/28/30)(a)   800    712,150 
Banco General SA, 4.13%, 08/07/27 (Call 05/07/27)(a)(b)   400    382,325 
C&W Senior Financing DAC, 6.88%, 09/15/27 (Call 02/10/23)(a)(b)   800    761,024 
Cable Onda SA, 4.50%, 01/30/30 (Call 01/30/25)(a)   400    352,250 
         2,207,749 
Paraguay — 0.2%          
Bioceanico Sovereign Certificate Ltd., 0.00%, 06/05/34(a)(b)(f)   411    294,106 
Telefonica Celular del Paraguay SA, 5.88%, 04/15/27 (Call 04/15/23)(a)   400    372,575 
         666,681 
Peru — 1.8%          
Banco de Credito del Peru, 2.70%, 01/11/25 (Call 12/11/24)(a)(b)   500    477,250 
Banco de Credito del Peru SA          
3.13%, 07/01/30 (Call 07/01/25)(a)(d)   550    505,293 
3.25%, 09/30/31 (Call 09/30/26)(a)(d)   300    266,040 
Security   

Par

(000)

   Value 
           
Peru (continued)          
Cia. De Minas Buenaventur Co., 5.50%, 07/23/26 (Call 07/23/23)(a)  $400   $350,000 
Consorcio Transmantaro SA          
4.70%, 04/16/34(a)   400    371,550 
5.20%, 04/11/38 (Call 01/11/38)(a)(b)   200    184,450 
Credicorp Ltd., 2.75%, 06/17/25 (Call 05/17/25)(a)   200    187,975 
Hunt Oil Co. of Peru LLC Sucursal Del Peru, 6.38%, 06/01/28(a)(b)   350    335,354 
InRetail Consumer, 3.25%, 03/22/28 (Call 01/22/28)(a)   400    344,250 
Kallpa Generacion SA, 4.13%, 08/16/27 (Call 05/16/27)(a)   400    373,825 
Lima Metro Line 2 Finance Ltd.          
4.35%, 04/05/36(a)   365    327,178 
5.88%, 07/05/34(a)   373    363,469 
Minsur SA, 4.50%, 10/28/31(a)   400    355,500 
Peru LNG Srl, 5.38%, 03/22/30(a)(b)   600    492,750 
Transportadora de Gas del Peru SA, 4.25%, 04/30/28(a)   600    573,113 
         5,507,997 
Philippines — 1.3%          
BDO Unibank Inc., 2.13%, 01/13/26(a)   400    363,500 
Globe Telecom Inc., 4.20%, (Call 08/02/26)(a)(c)(d)   400    367,450 
JGSH Philippines Ltd., 4.13%, 07/09/30(a)   400    364,825 
Manila Water Co. Inc., 4.38%, 07/30/30 (Call 07/30/25)(a)   200    175,500 
Metropolitan Bank & Trust Co., 2.13%, 01/15/26(a)   400    366,200 
Petron Corp., 5.95%, (Call 04/19/26)(a)(c)(d)   400    346,700 
Philippine National Bank, 3.28%, 09/27/24(a)   400    379,825 
San Miguel Crop., 5.50%, (Call 07/29/25)(a)(c)(d)   400    368,500 
SMC Global Power Holdings Corp.          
5.45%, (Call 12/09/26)(a)(c)(d)   400    307,075 
5.70%, (Call 01/21/26)(a)(c)(d)   400    328,325 
6.50%, (Call 04/25/24)(a)(c)(d)   500    460,250 
7.00%, (Call 10/21/25)(a)(c)(d)   400    362,325 
         4,190,475 
Poland — 0.1%          
Canpack SA/Canpack U.S. LLC, 3.88%, 11/15/29 (Call 11/15/24)(a)   500    413,945 
           
Qatar — 3.4%          
ABQ Finance Co., 2.00%, 07/06/26(a)   200    180,163 
ABQ Finance Ltd.          
1.88%, 09/08/25(a)   400    367,450 
3.13%, 09/24/24(a)   400    385,575 
CBQ Finance Ltd., 2.00%, 09/15/25(a)   400    369,950 
Commercial Bank PSQC (The), 4.50%, (Call 03/03/26)(a)(c)(d)   400    369,200 
Doha Finance Ltd., 2.38%, 03/31/26(a)   500    457,906 
MAR Sukuk Ltd.          
2.21%, 09/02/25(a)   400    372,000 
3.03%, 11/13/24(a)   400    384,575 
Nakilat Inc., 6.07%, 12/31/33(a)   580    608,588 
Ooredoo International Finance Ltd.          
3.75%, 06/22/26(a)   400    389,575 
3.88%, 01/31/28(a)   200    195,413 
4.50%, 01/31/43(a)   200    193,288 
5.00%, 10/19/25(a)   600    603,300 
QIB Sukuk Ltd.          
1.95%, 10/27/25(a)   500    460,875 
3.98%, 03/26/24(a)   600    593,737 
5.88%, 02/07/25, (3 mo. LIBOR US + 1.350%)(a)(d)   600    599,925 
QIIB Senior Sukuk Ltd., 4.26%, 03/05/24(a)   200    197,288 
QNB Finance Ltd.          
1.38%, 01/26/26(a)   650    584,309 

 8

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security  Par
(000)
   Value 
         
Qatar (continued)          
1.63%, 09/22/25(a)  $400   $367,575 
2.63%, 05/12/25(a)   600    569,925 
2.75%, 02/12/27(a)   700    651,787 
3.50%, 03/28/24(a)   600    587,737 
Ras Laffan Liquefied Natural Gas Co. Ltd. III          
5.84%, 09/30/27(a)   488    494,473 
6.33%, 09/30/27(a)   422    431,171 
SingTel Group Treasury Pte Ltd., 2.38%, 08/28/29 (Call 05/28/29)(a)   400    349,450 
         10,765,235 
Saudi Arabia — 4.2%          
Almarai Sukuk Ltd., 4.31%, 03/05/24(a)   200    197,600 
Arab National Bank, 3.33%, 10/28/30 (Call 10/28/25)(a)(d)   200    189,100 
Arabian Centres Sukuk II Ltd., 5.63%, 10/07/26(a)   200    189,600 
Arabian Centres Sukuk Ltd., 5.38%, 11/26/24(a)   300    293,025 
BSF Finance, 5.50%, 11/23/27(a)   200    204,750 
Dar Al-Arkan Sukuk Co. Ltd., 6.75%, 02/15/25(a)   200    197,225 
EIG Pearl Holdings Sarl          
3.55%, 08/31/36(a)   400    346,000 
4.39%, 11/30/46(a)   500    395,094 
Riyad Sukuk Ltd., 3.17%, 02/25/30 (Call 02/25/25)(a)(d)   600    573,487 
Riyad Tier 1 Sukuk Ltd., 4.00%, (Call 02/16/27)(a)(c)(d)   200    183,538 
SA Global Sukuk Ltd.          
0.95%, 06/17/24 (Call 05/17/24)(a)   200    189,250 
1.60%, 06/17/26 (Call 05/17/26)(a)   700    642,131 
2.69%, 06/17/31 (Call 03/17/31)(a)   1,100    973,500 
SABIC Capital I BV          
2.15%, 09/14/30 (Call 06/14/30)(a)   200    169,288 
3.00%, 09/14/50 (Call 03/14/50)(a)   200    148,538 
SABIC Capital II BV, 4.50%, 10/10/28(a)   400    396,075 
Samba Funding Ltd.          
2.75%, 10/02/24(a)   400    383,200 
2.90%, 01/29/27(a)   200    188,162 
Saudi Arabian Oil Co.          
1.63%, 11/24/25 (Call 10/24/25)(a)   400    368,120 
2.25%, 11/24/30 (Call 08/24/30)(a)   800    677,260 
3.25%, 11/24/50 (Call 05/24/50)(a)   900    649,687 
3.50%, 04/16/29(a)   1,100    1,030,425 
4.25%, 04/16/39(a)   1,000    917,025 
4.38%, 04/16/49   1,000    883,000 
Saudi Electricity Global Sukuk Co. 2, 5.06%, 04/08/43(a)   400    399,700 
Saudi Electricity Global Sukuk Co. 3          
4.00%, 04/08/24(a)   600    593,550 
5.50%, 04/08/44(a)   400    421,950 
Saudi Electricity Global Sukuk Co. 4, 4.72%, 09/27/28(a)   400    409,200 
Saudi Electricity Global Sukuk Co. 5          
1.74%, 09/17/25(a)   200    186,475 
2.41%, 09/17/30(a)   200    176,100 
Saudi Telecom Co., 3.89%, 05/13/29(a)   400    388,325 
SNB Sukuk Ltd., 2.34%, 01/19/27(a)   200    184,850 
         13,145,230 
Singapore — 4.1%          
BOC Aviation Ltd.          
1.75%, 01/21/26 (Call 12/21/25)(a)   300    271,977 
2.63%, 09/17/30 (Call 06/17/30)(a)(b)   400    340,575 
3.00%, 09/11/29 (Call 06/11/29)(a)   300    265,764 
3.25%, 04/29/25 (Call 03/29/25)(a)(b)   400    381,136 
3.50%, 10/10/24 (Call 09/10/24)(a)   400    387,325 
3.50%, 09/18/27 (Call 06/18/27)(a)   400    374,575 
Security  Par
(000)
   Value 
         
Singapore (continued)          
3.88%, 04/27/26 (Call 01/27/26)(a)(b)  $300   $288,399 
BOC Aviation USA Corp., 1.63%, 04/29/24 (Call 03/29/24)(a)   600    573,204 
DBS Group Holdings Ltd.          
1.17%, 11/22/24(a)   400    375,325 
1.19%, 03/15/27(a)   400    350,488 
3.30%, (Call 02/27/25)(a)(c)(d)   400    378,000 
4.52%, 12/11/28 (Call 12/11/23)(a)(d)   400    396,624 
Flex Ltd.          
3.75%, 02/01/26 (Call 01/01/26)   400    385,325 
4.75%, 06/15/25 (Call 03/15/25)   284    279,829 
4.88%, 06/15/29 (Call 03/15/29)   399    391,748 
4.88%, 05/12/30 (Call 02/12/30)   315    307,070 
GLP Pte Ltd.          
3.88%, 06/04/25(a)   600    527,362 
4.50%, (Call 05/17/26)(a)(c)(d)   400    270,500 
Oversea-Chinese Banking Corp. Ltd.          
1.83%, 09/10/30 (Call 09/10/25)(a)(d)   400    364,228 
4.25%, 06/19/24(a)(b)   600    593,922 
4.60%, 06/15/32 (Call 06/15/27)(a)(d)   400    391,460 
Singapore Airlines Ltd.          
3.00%, 07/20/26 (Call 06/20/26)(a)   200    185,452 
3.38%, 01/19/29 (Call 11/19/28)(a)   400    361,244 
Singapore Telecommunications Ltd., 7.38%, 12/01/31   332    396,325 
SingTel Group Treasury Pte Ltd.          
2.38%, 10/03/26(a)   200    184,788 
3.25%, 06/30/25(a)   300    289,369 
3.88%, 08/28/28 (Call 05/28/28)(a)   200    193,287 
ST Engineering RHQ Ltd., 1.50%, 04/29/25 (Call 01/29/25)(a)   200    185,788 
Ste Transcore Holdings Inc., 3.38%, 05/05/27 (Call 02/05/27)(a)600    575,175 
United Overseas Bank Ltd, 3.06%, 04/07/25(a)   400    386,584 
United Overseas Bank Ltd.          
1.25%, 04/14/26(a)   400    360,488 
1.75%, 03/16/31 (Call 03/16/26)(a)(d)   200    178,642 
2.00%, 10/14/31 (Call 10/14/26)(a)(d)   400    353,572 
3.75%, 04/15/29 (Call 04/15/24)(a)(d)   200    195,412 
3.86%, 10/07/32 (Call 10/07/27)(a)(d)   600    566,586 
3.88%, (Call 10/19/23)(a)(c)(d)   400    392,500 
Vena Energy Capital Pte Ltd., 3.13%, 02/26/25(a)   200    185,225 
         12,885,273 
South Africa — 1.7%          
Absa Group Ltd., 6.38%, (Call 05/27/26)(a)(c)(d)   200    189,100 
AngloGold Ashanti Holdings PLC          
3.38%, 11/01/28 (Call 09/01/28)(b)   400    358,400 
3.75%, 10/01/30 (Call 07/01/30)   500    442,500 
Bidvest Group UK PLC (The), 3.63%, 09/23/26 (Call 09/23/23)(a)   400    366,075 
FirstRand Bank Ltd., 6.25%, 04/23/28 (Call 04/23/23)(a)(d)   400    395,450 
Gold Fields Orogen Holdings BVI Ltd.          
5.13%, 05/15/24 (Call 04/15/24)(a)   400    397,450 
6.13%, 05/15/29 (Call 02/15/29)(a)   200    205,100 
Liquid Telecommunications Financing Plc, 5.50%, 09/04/26 (Call 03/04/23)(a)   400    302,700 
MTN Mauritius Investments Ltd., 6.50%, 10/13/26(a)   200    202,537 
Sasol Financing USA LLC          
4.38%, 09/18/26 (Call 09/18/25)(b)   200    184,020 
5.50%, 03/18/31 (Call 03/18/30)   500    434,950 
5.88%, 03/27/24 (Call 02/27/24)   900    887,355 
6.50%, 09/27/28 (Call 06/27/28)(b)   400    384,000 

9

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security  Par
(000)
   Value 
         
South Africa (continued)          
Stillwater Mining Co.          
4.00%, 11/16/26 (Call 11/16/23)(a)  $400   $370,000 
4.50%, 11/16/29 (Call 11/16/25)(a)   200    171,000 
         5,290,637 
South Korea — 3.8%          
Hana Bank          
1.25%, 12/16/26(a)   400    347,450 
3.25%, 03/30/27(a)   200    187,975 
Hanwha Life Insurance Co. Ltd.          
3.38%, 02/04/32 (Call 02/04/27)(a)(d)   400    351,825 
4.70%, (Call 04/23/23)(a)(c)(d)   400    393,000 
Hyundai Capital Services Inc., 1.25%, 02/08/26(a)   200    176,225 
Kookmin Bank          
1.38%, 05/06/26(a)   200    178,544 
1.75%, 05/04/25(a)   400    371,516 
2.50%, 11/04/30(a)(b)   200    162,990 
4.35%, (Call 07/02/24)(a)(c)(d)   200    192,975 
Korea East-West Power Co. Ltd.          
1.75%, 05/06/25(a)   200    185,475 
3.60%, 05/06/25   200    193,037 
Korea Electric Power Corp.          
1.13%, 06/15/25(a)   200    182,350 
2.50%, 06/24/24(a)   200    193,287 
Korea Gas Corp.          
3.50%, 07/21/25(a)(b)   400    385,548 
3.50%, 07/02/26(a)   200    190,760 
6.25%, 01/20/42(a)(b)   600    699,972 
KT Corp., 4.00%, 08/08/25(a)   200    194,838 
Kyobo Life Insurance Co. Ltd., 5.90%, 06/15/52 (Call 06/15/27)(a)(d)   200    193,287 
LG Chem Ltd.          
1.38%, 07/07/26(a)   200    176,312 
2.38%, 07/07/31(a)   200    162,100 
3.25%, 10/15/24(a)   200    193,316 
3.63%, 04/15/29(a)   200    186,038 
NAVER Corp., 1.50%, 03/29/26(a)   400    356,200 
NongHyup Bank, 1.25%, 07/20/25(a)   200    181,840 
POSCO          
2.75%, 07/15/24(a)   200    192,537 
4.38%, 08/04/25(a)   400    391,820 
5.63%, 01/17/26   200    202,370 
5.75%, 01/17/28(g)   200    205,840 
Shinhan Bank Co. Ltd.          
1.38%, 10/21/26(a)   200    176,008 
3.88%, 03/24/26(a)   200    188,788 
4.38%, 04/13/32(a)(b)   200    183,725 
6.50%, 04/24/25, (3 mo. LIBOR US + 1.700%)(a)(d)   200    203,287 
Shinhan Financial Group Co. Ltd.          
1.35%, 01/10/26(a)   400    359,512 
2.88%, (Call 05/12/26)(a)(c)(d)   200    179,000 
3.34%, 02/05/30 (Call 02/05/25)(a)(b)(d)   200    188,663 
5.88%, (Call 08/13/23)(a)(c)(d)   200    198,000 
SK Battery America Inc., 2.13%, 01/26/26(a)   400    347,600 
SK Hynix Inc.          
1.50%, 01/19/26(a)   600    526,764 
2.38%, 01/19/31(a)   400    301,325 
3.00%, 09/17/24(a)   200    190,788 
6.25%, 01/17/26(g)   200    201,810 
6.38%, 01/17/28(g)   400    405,710 
6.50%, 01/17/33(g)   200    202,082 
Security  Par
(000)
   Value 
         
South Korea (continued)          
Woori Bank          
0.75%, 02/01/26(a)  $400   $352,916 
2.00%, 01/20/27(a)   200    179,475 
4.25%, (Call 10/04/24)(a)(c)(d)   200    191,350 
4.75%, 04/30/24(a)   400    395,200 
         12,001,430 
Spain — 0.1%          
Banco Bilbao Vizcaya Argentaria SA          
5.86%, 09/14/26 (Call 09/14/25)(d)   200    200,986 
6.14%, 09/14/28 (Call 09/14/27)(d)   200    205,919 
         406,905 
Supranational — 0.5%          
Africa Finance Corp., 2.88%, 04/28/28(a)   600    510,000 
African Export-Import Bank (The), 2.63%, 05/17/26 (Call 04/17/26)(a)   400    360,500 
Eastern & Southern African Trade & Development Bank (The)          
4.13%, 06/30/28(a)   400    334,472 
4.88%, 05/23/24(a)   400    389,000 
         1,593,972 
Switzerland — 0.1%          
Oriflame Investment Holding PLC, 5.13%, 05/04/26 (Call 05/15/23)(a)   400    255,100 
           
Taiwan — 3.3%          
Competition Team Technologies Ltd., 3.75%, 03/12/24(a)   200    196,350 
Formosa Group Cayman Ltd., 3.38%, 04/22/25(a)   800    763,650 
Foxconn Far East Ltd.          
1.63%, 10/28/25(a)   600    541,356 
2.50%, 10/28/30(a)   400    336,000 
TSMC Arizona Corp.          
1.75%, 10/25/26 (Call 09/25/26)(b)   1,000    895,830 
2.50%, 10/25/31 (Call 07/25/31)   800    678,880 
3.13%, 10/25/41 (Call 04/25/41)   600    481,686 
3.25%, 10/25/51 (Call 04/25/51)(b)   600    467,748 
3.88%, 04/22/27 (Call 03/22/27)   600    585,792 
4.13%, 04/22/29 (Call 02/22/29)   200    195,346 
4.25%, 04/22/32 (Call 01/22/32)   600    588,816 
4.50%, 04/22/52 (Call 10/22/51)(b)   700    687,750 
TSMC Global Ltd.          
0.75%, 09/28/25 (Call 08/28/25)(a)   600    539,754 
1.00%, 09/28/27 (Call 07/28/27)(a)   600    510,828 
1.25%, 04/23/26 (Call 03/23/26)(a)   800    715,960 
1.38%, 09/28/30 (Call 06/28/30)(a)   700    556,517 
1.75%, 04/23/28 (Call 02/23/28)   600    521,832 
2.25%, 04/23/31 (Call 01/23/31)(a)   900    753,858 
4.63%, 07/22/32 (Call 04/22/32)(a)   400    404,552 
         10,422,505 
Tanzania — 0.2%          
HTA Group Ltd./Mauritius, 7.00%, 12/18/25 (Call 03/02/23)(a)   600    563,738 
           
Thailand — 2.3%          
Bangkok Bank PCL/Hong Kong          
3.47%, 09/23/36 (Call 09/23/31)   600    508,500 
3.73%, 09/25/34 (Call 09/25/29)(a)(d)   800    704,000 
4.05%, 03/19/24(a)   400    396,088 
4.30%, 06/15/27 (Call 05/15/27)(a)   400    392,664 
4.45%, 09/19/28(a)(b)   400    390,972 
5.00%, (Call 09/23/25)   600    576,750 
GC Treasury Center Co. Ltd.          
2.98%, 03/18/31 (Call 12/18/30)(a)   200    166,975 

10

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security  Par
(000)
   Value 
         
Thailand (continued)          
4.30%, 03/18/51 (Call 09/18/50)(a)  $400   $302,075 
4.40%, 03/30/32 (Call 09/30/31)(a)   800    733,150 
Kasikornbank PCL/Hong Kong          
3.34%, 10/02/31 (Call 10/02/26)(a)(d)   400    357,492 
5.28%, (Call 10/14/25)(a)(c)(d)   400    386,000 
Krung Thai Bank PCL/Cayman Islands, 4.40%, (Call 03/25/26)(a)(c)(d)   400    367,325 
PTT Treasury Center Co. Ltd., 3.70%, 07/16/70 (Call 01/16/70)(a)(b)   400    270,500 
PTTEP Treasury Center Co. Ltd.          
2.59%, 06/10/27 (Call 04/10/27)(a)   400    364,575 
3.90%, 12/06/59(a)(b)   400    289,575 
Siam Commercial Bank PCL/Cayman Islands, 4.40%, 02/11/29(a)   200    194,037 
Thaioil Treasury Center Co. Ltd.          
3.50%, 10/17/49(a)   400    255,825 
3.75%, 06/18/50(a)   400    265,644 
5.38%, 11/20/48(a)   400    339,828 
         7,261,975 
Togo — 0.1%          
Ecobank Transnational Inc., 9.50%, 04/18/24(a)   200    199,150 
           
Turkey — 3.1%          
Akbank TAS          
5.13%, 03/31/25(a)   400    379,075 
6.80%, 02/06/26(a)   300    286,744 
6.80%, 06/22/31 (Call 06/22/26)(a)(d)   200    179,475 
Anadolu Efes Biracilik Ve Malt Sanayii AS, 3.38%, 06/29/28 (Call 03/29/28)(a)   400    310,500 
Aydem Yenilenebilir Enerji AS, 7.75%, 02/02/27 (Call 02/02/24)(a)   400    330,575 
Coca-Cola Icecek AS, 4.50%, 01/20/29 (Call 10/20/28)(a)   400    342,200 
DBS Group Holdings Ltd., 1.82%, 03/10/31 (Call 03/10/26)(a)(d)   200    179,400 
KOC Holding AS, 6.50%, 03/11/25 (Call 12/11/24)(a)   500    490,875 
Mersin Uluslararasi Liman Isletmeciligi AS, 5.38%, 11/15/24 (Call 03/02/23)(a)   400    383,325 
QNB Finansbank AS, 6.88%, 09/07/24(a)   400    404,075 
Turk Telekomunikasyon AS          
4.88%, 06/19/24(a)   200    188,000 
6.88%, 02/28/25(a)   400    378,825 
Turkcell Iletisim Hizmetleri AS          
5.75%, 10/15/25(a)   200    187,787 
5.80%, 04/11/28 (Call 01/11/28)(a)   365    315,990 
Turkiye Garanti Bankasi AS, 7.18%, 05/24/27(a)(d)   400    366,575 
Turkiye Is Bankasi AS          
6.13%, 04/25/24(a)   800    783,650 
7.00%, 06/29/28 (Call 06/29/23)(a)(d)   400    384,700 
7.75%, 01/22/30 (Call 01/22/25)(a)(d)   500    467,594 
Turkiye Petrol Rafinerileri AS, 4.50%, 10/18/24 (Call 07/20/24)(a)   400    380,575 
Turkiye Sise ve Cam Fabrikalari AS, 6.95%, 03/14/26 (Call 12/14/25)(a)   400    387,200 
Turkiye Vakiflar Bankasi TAO          
6.50%, 01/08/26(a)   500    465,406 
8.13%, 03/28/24(a)   400    400,075 
Ulker Biskuvi Sanayi AS, 6.95%, 10/30/25(a)   400    353,575 
Yapi ve Kredi Bankasi AS          
5.85%, 06/21/24(a)   400    389,700 
7.88%, 01/22/31 (Call 01/22/26)(a)(d)   400    376,075 
Security  Par
(000)
   Value 
         
Turkey (continued)          
8.25%, 10/15/24(a)   $400   $401,950 
13.88%, (Call 01/15/24)(a)(c)(d)   300    312,150 
         9,826,071 
Ukraine — 0.1%          
Metinvest BV, 7.75%, 10/17/29(a)   400    196,950 
           
United Arab Emirates — 4.8%          
Abu Dhabi Commercial Bank PJSC, 3.50%, 03/31/27(a)   400    380,825 
Abu Dhabi National Energy Co. PJSC          
2.00%, 04/29/28 (Call 01/29/28)(a)   400    357,200 
3.40%, 04/29/51 (Call 10/29/50)(a)   200    157,475 
3.88%, 05/06/24(a)   400    394,075 
4.38%, 04/23/25(a)   200    198,600 
4.38%, 06/22/26(a)   200    199,037 
4.88%, 04/23/30(a)   200    206,912 
6.50%, 10/27/36(a)   300    346,369 
Abu Dhabi Ports Co. PJSC, 2.50%, 05/06/31 (Call 02/06/31)(a)   300    255,150 
ADIB Capital Invest 2 Ltd., 7.13%, (Call 09/20/23)(a)(c)(d)   200    200,975 
Aldar Sukuk No. 2 Ltd., 3.88%, 10/22/29(a)   400    381,450 
BOS Funding Ltd., 4.00%, 09/18/24(a)   200    190,663 
CBQ Finance Ltd., 2.00%, 05/12/26(a)   400    364,575 
China Everbright Bank Co. Ltd./Luxembourg, 0.83%, 09/14/24(a)   200    187,368 
Commercial Bank of Dubai PSC, 6.00%, (Call 04/21/26)(a)(c)(d)   200    197,475 
DIB Sukuk Ltd.          
1.96%, 06/22/26(a)   400    363,325 
2.95%, 02/20/25(a)   200    190,288 
2.95%, 01/16/26(a)   600    567,078 
DIB Tier 1 Sukuk 3 Ltd., 6.25%, (Call 01/22/25)(a)(c)(d)   200    201,500 
DIB Tier 1 Sukuk 4 Ltd., 4.63%, (Call 05/19/26)(a)(c)(d)   400    385,575 
EI Sukuk Co. Ltd., 1.83%, 09/23/25(a)   400    369,200 
Emaar Sukuk Ltd.          
3.64%, 09/15/26(a)   200    191,663 
3.70%, 07/06/31(a)   200    184,600 
3.88%, 09/17/29(a)   200    190,475 
EMG Sukuk Ltd., 4.56%, 06/18/24(a)   200    197,412 
Emirates NBD Bank PJSC          
1.64%, 01/13/26(a)   400    365,575 
4.25%, (Call 02/27/27)(a)(c)(d)   200    185,475 
5.63%, 10/21/27   200    207,500 
6.13%, (Call 03/20/25)(a)(c)(d)   400    399,825 
Emirates Telecommunications Group Co. PJSC, 3.50%, 06/18/24(a)   200    195,975 
Energean Israel Finance Ltd.          
4.50%, 03/30/24 (Call 12/30/23)(a)(g)   350    340,812 
4.88%, 03/30/26 (Call 12/30/25)(a)(g)   350    327,862 
Esic Sukuk Ltd., 3.94%, 07/30/24(a)   200    193,975 
Fab Sukuk Co. Ltd.          
1.41%, 01/14/26(a)   200    181,913 
2.50%, 01/21/25(a)   200    191,663 
2.59%, 03/02/27   200    185,663 
First Abu Dhabi Bank PJSC          
4.50%, (Call 04/05/26)(a)(c)(d)   400    384,950 
5.13%, 10/13/27(a)   200    204,250 
5.71%, 07/08/24, (3 mo. LIBOR US + 0.900%)   200    199,412 
Galaxy Pipeline Assets Bidco Ltd.          
1.75%, 09/30/27(a)   325    301,654 
2.63%, 03/31/36(a)   600    488,550 

11

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security  Par
(000)
   Value 
         
United Arab Emirates (continued)          
2.94%, 09/30/40(a)  $773   $632,594 
3.25%, 09/30/40(a)   400    315,575 
GEMS MENASA Cayman Ltd./GEMS Education Delaware LLC, 7.13%, 07/31/26 (Call 03/02/23)(a)   400    393,450 
MAF Global Securities Ltd.          
4.75%, 05/07/24(a)   200    197,412 
7.88%, (Call 06/30/27)(a)(c)(d)   200    207,787 
MAF Sukuk Ltd.          
3.93%, 02/28/30(a)   200    190,163 
4.64%, 05/14/29(a)   200    198,787 
National Central Cooling Co. PJSC, 2.50%, 10/21/27(a)   200    180,288 
Petrofac Ltd., 9.75%, 11/15/26 (Call 11/15/23)(a)   200    130,500 
Rakfunding Cayman Ltd., 4.13%, 04/09/24(a)   200    196,975 
Ruwais Power Co. PJSC, 6.00%, 08/31/36(a)   200    208,250 
Shelf Drilling Holdings Ltd., 8.25%, 02/15/25 (Call 02/15/23)   340    320,450 
SIB Sukuk Co. III Ltd., 2.85%, 06/23/25(a)   200    189,788 
Sweihan PV Power Co. PJSC, 3.63%, 01/31/49(a)   195    162,259 
Tabreed Sukuk Spc Ltd., 5.50%, 10/31/25(a)   200    202,662 
         14,941,259 
United Kingdom — 1.5%          
CK Hutchison International 16 Ltd., 2.75%, 10/03/26(a)   200    186,326 
CK Hutchison International 17 II Ltd., 3.25%, 09/29/27(a)   200    188,850 
CK Hutchison International 17 Ltd., 3.50%, 04/05/27(a)   200    191,704 
CK Hutchison International 19 Ltd., 3.38%, 09/06/49 (Call 03/06/49)   200    150,168 
CK Hutchison International 20 Ltd.          
2.50%, 05/08/30 (Call 02/08/30)(a)   200    172,250 
3.38%, 05/08/50 (Call 11/08/49)   200    152,130 
CK Hutchison International 21 Co.          
1.50%, 04/15/26 (Call 03/15/26)(a)   200    180,770 
2.50%, 04/15/31 (Call 01/15/31)(a)   200    170,290 
Hutchison Whampoa International 14 Ltd., 3.63%, 10/31/24(a)   200    195,382 
Hutchison Whampoa International Ltd., 7.45%, 11/24/33(a)   205    248,796 
Standard Chartered PLC          
2.68%, 06/29/32 (Call 06/29/31)(a)(d)   200    162,910 
4.30%, (Call 08/19/28)   400    339,360 
4.31%, 05/21/30   400    374,308 
4.64%, 04/01/31 (Call 04/01/30)(a)(d)   500    477,000 
4.75%, (Call 01/14/31)(a)(c)(d)   200    169,680 
6.00%, (Call 07/26/25)(a)(c)(d)   400    392,000 
7.75%, (Call 08/15/27)(a)(c)(d)   400    407,000 
7.77%, 11/16/28 (Call 11/16/27)   400    440,726 
         4,599,650 
United States — 2.1%          
Anglo American Capital PLC          
2.63%, 09/10/30 (Call 06/10/30)(a)   600    508,080 
3.95%, 09/10/50 (Call 03/10/50)   200    159,439 
4.75%, 03/16/52 (Call 09/16/51)   400    359,736 
5.63%, 04/01/30 (Call 01/01/30)   400    409,638 
GCC SAB de CV, 3.61%, 04/20/32 (Call 01/20/32)(a)   200    169,350 
JBS USA LUX SA/JBS USA Food Co/JBS USA Finance Inc.          
2.50%, 01/15/27 (Call 12/15/26)(a)   200    177,890 
3.00%, 02/02/29 (Call 12/02/28)(a)   200    171,642 
3.00%, 05/15/32 (Call 02/15/32)(a)   100    79,415 
3.63%, 01/15/32 (Call 01/15/27)(a)   200    166,822 
3.75%, 12/01/31 (Call 12/01/26)(a)(b)   200    169,572 
4.38%, 02/02/52 (Call 08/02/51)(a)   200    151,507 
5.13%, 02/01/28 (Call 01/01/28)(a)   103    100,919 
5.75%, 04/01/33 (Call 01/01/33)(a)   350    343,670 
Security  Par
(000)
   Value 
         
United States (continued)          
6.50%, 12/01/52 (Call 06/01/52)   $250   $254,056 
Playtika Holding Corp., 4.25%, 03/15/29 (Call 03/15/24)(a)   350    289,755 
Prosus NV          
3.06%, 07/13/31 (Call 04/13/31)(a)   1,000    799,000 
3.68%, 01/21/30 (Call 10/21/29)(a)   600    517,125 
3.83%, 02/08/51 (Call 08/08/50)(a)   800    520,800 
4.03%, 08/03/50 (Call 02/03/50)(a)   600    401,625 
4.99%, 01/19/52 (Call 07/19/51)(a)   700    533,680 
Sagicor Financial Co. Ltd., 5.30%, 05/13/28 (Call 05/13/24)(a)(b)   400    388,400 
         6,672,121 
Vietnam — 0.1%          
Mong Duong Finance Holdings BV, 5.13%, 05/07/29 (Call 05/07/23)(a)   500    444,625 
           
Zambia — 0.9%          
First Quantum Minerals Ltd.          
6.50%, 03/01/24 (Call 02/10/23)(a)   600    594,375 
6.88%, 03/01/26 (Call 02/10/23)(a)   650    624,821 
6.88%, 10/15/27 (Call 10/15/23)(a)   1,000    964,475 
7.50%, 04/01/25 (Call 02/10/23)(a)   800    788,040 
         2,971,711 
           
Total Corporate Bonds & Notes — 95.5%          
(Cost: $331,962,817)        300,364,566 
           
Foreign Government Obligations(h)          
           
South Korea — 0.6%          
Industrial Bank of Korea          
0.63%, 09/17/24(a)   200    186,966 
1.04%, 06/22/25(a)   200    182,154 
Korea Electric Power Corp.          
3.63%, 06/14/25(a)   200    193,580 
5.38%, 04/06/26(a)   200    202,118 
Korea Expressway Corp.          
1.13%, 05/17/26(a)(b)   200    176,772 
3.63%, 05/18/25(a)   200    193,975 
Korea Hydro & Nuclear Power Co. Ltd.          
1.25%, 04/27/26(a)   200    177,966 
4.25%, 07/27/27(a)   400    390,325 
         1,703,856 
Supranational — 0.8%          
Africa Finance Corp.          
3.13%, 06/16/25(a)   400    372,000 
3.75%, 10/30/29(a)   200    173,500 
3.88%, 04/13/24(a)   400    387,000 
4.38%, 04/17/26(a)   400    377,000 
African Export-Import Bank (The)          
3.80%, 05/17/31 (Call 02/17/31)(a)   400    340,000 
3.99%, 09/21/29 (Call 06/23/29)(a)   600    529,500 
4.13%, 06/20/24(a)   400    389,500 
         2,568,500 
Turkey — 0.1%          
Turkiye Vakiflar Bankasi TAO, 5.50%, 10/01/26(a)   400    354,700 
           
Total Foreign Government Obligations — 1.5%          
(Cost: $5,052,049)        4,627,056 
           
Total Long-Term Investments — 97.0%          
(Cost: $337,014,866)        304,991,622 

12

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023 (Percentages shown are based on Net Assets)

 

Security  Shares
(000)
   Value 
           
Short-Term Securities          
           
Money Market Funds — 7.1%          
BlackRock Cash Funds: Institutional, SL Agency Shares, 4.56%(i)(j)(k)   19,818   $19,829,514 
BlackRock Cash Funds: Treasury, SL Agency Shares, 4.18%(i)(j)   2,407    2,407,000 
           
Total Short-Term Securities — 7.1%          
(Cost: $22,212,980)        22,236,514 
           
Total Investments — 104.1%          
(Cost: $359,227,846)        327,228,136 
           
Liabilities in Excess of Other Assets — (4.1)%        (12,843,450)
           
Net Assets — 100.0%       $314,384,686 

 

(a)This security may be resold to qualified foreign investors and foreign institutional buyers under Regulation S of the Securities Act of 1933.

(b)All or a portion of this security is on loan.

(c)Perpetual security with no stated maturity date.

(d)Variable rate security. Interest rate resets periodically. The rate shown is the effective interest rate as of period end. Security description also includes the reference rate and spread if published and available.

 

 

 

(e)Payment-in-kind security which may pay interest/dividends in additional par/shares and/or in cash. Rates shown are the current rate and possible payment rates.

(f)Zero-coupon bond.

(g)Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.

(h)U.S. dollar denominated security issued by foreign domiciled entity.
(i)Affiliate of the Fund.

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

(k)All or a portion of this security was purchased with the cash collateral from loaned securities.

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
(000)
   Income   Capital Gain
Distributions from
Underlying Funds
 
BlackRock Cash Funds: Institutional, SL Agency Shares  $17,956,028   $1,856,258(a)  $   $2,571   $14,657   $19,829,514    19,818   $44,640(b)  $ 
BlackRock Cash Funds: Treasury, SL Agency Shares   3,897,000        (1,490,000)(a)           2,407,000    2,407    17,034    1 
                  $2,571   $14,657   $22,236,514        $61,674   $1 

 

(a)Represents net amount purchased (sold)

(b)All or a portion represents securities lending income earned from the reinvestment of cash collateral from loaned securities, net of fees and collateral investment expenses, and other payments to and from borrowers of securities.

 

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

 

13

 

 

Schedule of Investments (unaudited) (continued) iShares® J.P. Morgan EM Corporate Bond ETF
January 31, 2023  

 

Fair Value Hierarchy as of Period End (continued)

 

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.

 

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                    
Corporate Bonds & Notes  $   $300,364,566   $   $300,364,566 
Foreign Government Obligations       4,627,056        4,627,056 
Short-Term Securities                    
Money Market Funds   22,236,514            22,236,514 
   $22,236,514   $304,991,622   $   $327,228,136 

 

Portfolio Abbreviation

 

LIBOR London Interbank Offered Rate
OJSC Open Joint Stock Company
PIK Payment-in-kind
PJSC Public Joint Stock Company
SOFR Secured Overnight Financing Rate

 

14