iShares Trust - iShares Short-Term National Muni Bond ETF
US ˙ ARCA ˙ US4642881589

SecuritySUB / iShares Trust - iShares Short-Term National Muni Bond ETF
InstitutionMBL Wealth, LLC
Latest Disclosed Ownership118,521 shares
Latest Disclosed Value $ 12,622,487
MBL Wealth, LLC reports 29.29% increase in ownership of SUB / iShares Trust - iShares Short-Term National Muni Bond ETF

On April 28, 2026 - MBL Wealth, LLC filed a 13F-HR form disclosing ownership of 118,521 shares of iShares Trust - iShares Short-Term National Muni Bond ETF (US:SUB) valued at $12,622,486 USD as of March 31, 2026. The entity filed a previous 13F-HR on January 21, 2026 disclosing 91,668 shares of iShares Trust - iShares Short-Term National Muni Bond ETF. This represents a change in shares of 29.29% during the quarter. The current value of the position is $12,611,820 USD.

Institutional Ownership: 13F and NPORT Filings

The Security and Class in the table below are shown exactly as filed by the investor. We do our best to track continuity of investments through acquisitions, and this will be reflected in the table as changes in names. In addition to descriptive data, performance of the investment is shown over time. To calculate quarterly performance, we first calculate cost basis of the shares purchased during the quarter, then use that to calculate gross profit. Quarterly return is Gross Profit / Starting Portfolio value.

Note that cost basis is calculated and stored in thousands, so small quarterly changes in shares frequently result in a cost basis of zero.

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Disclosed Equity Positions (from 13F/NPORT Filings)
File
Date
Effective
Date
Form Security Class ID Avg Price
Paid (Est)
Reported
Shares
ΔShares ΔShares
(%)
Reported
Value
(x1000)
ΔValue
(%)
Alloc
(%)
ΔAlloc ΔAlloc (%) Cost Basis
(x1000)
Unrealized
Gain/Loss
(x1000)
2026-04-28 2026-03-31 13F ISHARES TR SHRT NAT MUN ETF 464288158 118,521 26,853 29.29 12,622 29.06 0.8775
2026-01-21 2025-12-31 13F ISHARES TR SHRT NAT MUN ETF 464288158 91,668 2,835 3.19 9,781 3.11 0.7146
2025-10-16 2025-09-30 13F ISHARES TR SHRT NAT MUN ETF 464288158 88,833 3,620 4.25 9,486 4.68 0.8283
2025-07-22 2025-06-30 13F ISHARES TR SHRT NAT MUN ETF 464288158 85,213 -1,271 -1.47 9,062 -0.78 0.8665
2025-05-21 2025-03-31 13F ISHARES TR SHRT NAT MUN ETF 464288158 86,484 -1,446 -1.64 9,133 -1.53 0.9229
2025-04-21 2024-12-31 13F ISHARES TR SHRT NAT MUN ETF 464288158 87,930 -633 -0.71 9,275 -1.38 0.9307
2025-01-08 2024-09-30 13F ISHARES TR SHRT NAT MUN ETF 464288158 88,563 -5,308 -5.65 9,405 -4.18 1.0112
2024-07-19 2024-06-30 13F ISHARES TR SHRT NAT MUN ETF 464288158 93,871 -3,650 -3.74 9,814 -3.91 1.0955
2024-04-22 2024-03-31 13F ISHARES TR SHRT NAT MUN ETF 464288158 97,521 -7,047 -6.74 10,213 -7.36 1.1586
2024-01-18 2023-12-31 13F ISHARES TR SHRT NAT MUN ETF 464288158 104,568 -3,401 -3.15 11,025 -0.73 1.3791
2023-10-11 2023-09-30 13F ISHARES TR SHRT NAT MUN ETF 464288158 107,969 1,199 1.12 11,106 -0.03 1.5633
2023-07-17 2023-06-30 13F ISHARES TR SHRT NAT MUN ETF 464288158 106,770 -59,890 -35.94 11,108 -36.33 1.5673
2023-04-12 2023-03-31 13F ISHARES TR SHRT NAT MUN ETF 464288158 166,660 -19,577 -10.51 17,446 91,715.79 2.7278
2023-01-12 2022-12-31 13F ISHARES TR SHRT NAT MUN ETF 464288158 186,237 -2,500 -1.32 19 -99.90 3.7139
2023-01-12 2022-09-30 13F ISHARES TR SHRT NAT MUN ETF 464288158 188,737 62,687 49.73 19,376 46.85 4.1796
2023-01-12 2022-06-30 13F ISHARES TR SHRT NAT MUN ETF 464288158 126,050 109,525 662.78 13,194 663.10 3.2900
2022-05-02 2022-03-31 13F ISHARES TR SHRT NAT MUN ETF 464288158 16,525 -11,600 -41.24 1,729 -42.84 0.4219
2021-10-25 2021-09-30 13F ISHARES TR SHRT NAT MUN ETF 464288158 28,125 14,975 113.88 3,025 113.33 1.0462
2021-05-27 2021-03-31 13F ISHARES TR SHRT NAT MUN ETF 464288158 13,150 2,200 20.09 1,418 19.76 0.4946
2021-02-16 2020-12-31 13F ISHARES SHORT TERM NTNL MUN BND ETF UIE 464288158 10,950 10,950 1,184 0.4688
Legend
Shares
The total number of shares held by the institution at the end of the reporting period (the effective date). This is provided in the filing.
Value
The total value of the shares as of the effective date. This is provided in the filing.
Avg. Share Price
The weighted average share price of the shares held by the institution. We use FIFO accounting to determine this price
Class
This is the security class as indicated by the filer. There are a variety of values for this field. Common values include "EC" = equity common, "EP" - equity preferred
Allocation (%)
The percent of the institution's portfolio that this position represents. This is provided in NPORT filings. For 13F filings, we calculate it.
Change in Allocation
The change in allocation from the prior reporting period. This is calculated as current allocation - prior allocation.
Change in Allocation (%)
The percent change in allocation from the prior reporting period. This is calculated as (current allocation - prior allocation) / prior allocation.
Cost Basis
The total cost of the shares held. This is calculated as reported shares * avg. share price
Unrealized Gain/Loss
This is the market value of the position as of the effective date minus the cost basis.