C000219488 Holdings — BlackRock Global Impact Fund

All 60 reported holdings of BlackRock Global Impact Fund (C000219488) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Taiwan Semiconductor Manufacturing Co. Ltd.3.24%$240.22K
BlackRock Liquidity Funds3.22%$238.87K
Bank Rakyat Indonesia Persero Tbk. PT2.98%$220.75K
MercadoLibre, Inc.2.84%$210.55K
Boston Scientific Corp.2.77%$205.34K
Wise plc2.77%$205.24K
Crown Holdings, Inc.2.75%$204.17K
ASML Holding NV2.70%$200.41K
Pearson plc2.53%$187.30K
ICF International, Inc.2.45%$181.31K
Autodesk, Inc.2.35%$174.37K
Clean Harbors, Inc.2.33%$172.49K
Schneider Electric SE2.27%$168.16K
RELX plc2.24%$166.33K
Instructure Holdings, Inc.2.19%$162.21K
Sendas Distribuidora SA2.13%$158.05K
Zurn Elkay Water Solutions Corp.2.11%$156.43K
North West Co., Inc. (The)2.02%$150.07K
Veeva Systems, Inc.2.02%$149.96K
Landis+Gyr Group AG1.98%$147.02K
Brookfield Renewable Corp.1.97%$146.31K
Halma plc1.93%$143.35K
AZEK Co., Inc. (The)1.92%$142.52K
Kaspi.KZ JSC1.87%$138.83K
NextEra Energy, Inc.1.85%$137.37K
Recruit Holdings Co. Ltd.1.81%$134.30K
Royalty Pharma plc1.77%$131.42K
DSM-Firmenich AG1.77%$131.21K
Stride, Inc.1.74%$128.95K
Zoetis, Inc.1.73%$127.90K
Danaher Corp.1.71%$126.43K
LEG Immobilien SE1.53%$113.27K
Dexcom, Inc.1.49%$110.31K
Hologic, Inc.1.48%$109.80K
EDP Renovaveis SA1.45%$107.33K
Quanta Services, Inc.1.40%$103.43K
Intuitive Surgical, Inc.1.39%$102.88K
Infineon Technologies AG1.36%$100.55K
Advanced Drainage Systems, Inc.1.33%$98.86K
Aptiv plc1.33%$98.82K
Trane Technologies plc1.26%$93.51K
Exact Sciences Corp.1.26%$93.13K
Vertex Pharmaceuticals, Inc.1.18%$87.54K
Block, Inc.1.15%$85.49K
Encompass Health Corp.1.08%$80.20K
Dayamitra Telekomunikasi PT1.07%$79.59K
Intuit, Inc.1.07%$79.55K
Brambles Ltd.1.04%$76.78K
Vonovia SE0.92%$68.22K
Pacific Biosciences of California, Inc.0.92%$67.85K
Tesla, Inc.0.88%$65.55K
Okta, Inc.0.87%$64.80K
Etsy, Inc.0.82%$61.17K
Palo Alto Networks, Inc.0.79%$58.56K
Daikin Industries Ltd.0.65%$48.07K
Grand Canyon Education, Inc.0.61%$45.31K
Bandhan Bank Ltd.0.60%$44.44K
Samsung SDI Co. Ltd.0.59%$43.57K
Trimble, Inc.0.39%$29.19K
STERIS plc0.30%$22.33K

C000219488 overview: performance, fees, allocation and SEC filings