C000226202 Holdings — BlackRock World ex U.S. Carbon Transition Readiness ETF

All 351 reported holdings of BlackRock World ex U.S. Carbon Transition Readiness ETF (C000226202) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
ASML Holding NV2.69%$7.70M
Royal Bank of Canada2.19%$6.25M
Novartis AG1.61%$4.60M
HSBC Holdings PLC1.46%$4.18M
Blackrock Cash Funds Treasury Sl Agency Shares1.29%$3.69M
AstraZeneca PLC1.23%$3.52M
Sap SE1.22%$3.50M
Banco Santander SA1.19%$3.41M
Nestle SA1.19%$3.40M
Schneider Electric SE1.19%$3.40M
Enbridge Inc1.16%$3.31M
Hitachi Ltd1.14%$3.25M
Siemens AG1.12%$3.21M
Bank of Montreal1.12%$3.19M
AIA Group Ltd1.07%$3.06M
Sanofi SA1.06%$3.03M
Intesa Sanpaolo SpA1.03%$2.95M
Givaudan SA1.02%$2.91M
UBS Group AG0.98%$2.81M
Commonwealth Bank of Australia0.95%$2.72M
Toronto-Dominion Bank/The0.92%$2.63M
Engie SA0.91%$2.62M
Iberdrola SA0.91%$2.60M
TotalEnergies SE0.89%$2.55M
Eni SpA0.88%$2.53M
Advantest Corp0.86%$2.47M
BHP Group Ltd0.84%$2.40M
Shell PLC0.83%$2.37M
Canadian Imperial Bank of Commerce0.81%$2.30M
Orkla ASA0.79%$2.27M
Tokyo Electron Ltd0.77%$2.21M
Swiss Life Holding AG0.77%$2.20M
Airbus SE0.76%$2.17M
Eqt Ab0.74%$2.12M
Macquarie Group Ltd0.73%$2.10M
Bank of Nova Scotia/The0.73%$2.10M
GEA Group AG0.73%$2.09M
Mitsubishi UFJ Financial Group Inc0.72%$2.06M
Industria de Diseno Textil SA0.71%$2.04M
Koninklijke KPN NV0.70%$1.99M
Toyota Motor Corp0.69%$1.98M
Siemens Energy AG0.69%$1.97M
Edp SA0.68%$1.94M
ING Groep NV0.68%$1.94M
Wheaton Precious Metals Corp0.66%$1.88M
Bp PLC0.65%$1.85M
Franco-Nevada Corp0.65%$1.85M
Manulife Financial Corp0.63%$1.81M
FUJIFILM Holdings Corp0.62%$1.77M
Allianz SE0.62%$1.77M
Daiwa House Industry Co Ltd0.62%$1.77M
Admiral Group PLC0.59%$1.70M
Alfa Laval AB0.58%$1.67M
L'Oreal SA0.57%$1.64M
Novo Nordisk A/S0.57%$1.64M
Gsk PLC0.57%$1.62M
Lloyds Banking Group PLC0.56%$1.61M
Intact Financial Corp0.56%$1.61M
Kao Corp0.56%$1.59M
Astellas Pharma Inc0.55%$1.58M
Sumitomo Mitsui Financial Group Inc0.55%$1.57M
Transurban Group0.54%$1.55M
Koninklijke Philips NV0.54%$1.53M
Westpac Banking Corp0.53%$1.52M
Prosus NV0.53%$1.52M
Deutsche Post AG0.51%$1.46M
SoftBank Group Corp0.50%$1.42M
Bayerische Motoren Werke AG0.50%$1.42M
NatWest Group PLC0.50%$1.42M
Toray Industries Inc0.49%$1.40M
Sony Group Corp0.48%$1.38M
National Bank of Canada0.46%$1.33M
Rolls-Royce Holdings PLC0.45%$1.29M
Shopify Inc0.44%$1.27M
Commerzbank AG0.44%$1.27M
Deutsche Bank AG0.43%$1.22M
ABB Ltd0.43%$1.22M
Barclays PLC0.42%$1.21M
Knorr-Bremse AG0.42%$1.20M
Recruit Holdings Co Ltd0.39%$1.12M
Mitsubishi Heavy Industries Ltd0.39%$1.11M
LVMH Moet Hennessy Louis Vuitton SE0.39%$1.11M
Roche Holding AG0.39%$1.10M
BAE Systems PLC0.38%$1.10M
Alimentation Couche-Tard Inc0.38%$1.09M
Asics Corp0.37%$1.07M
Pan American Silver Corp0.37%$1.06M
Hermes International SCA0.36%$1.04M
Nomura Holdings Inc0.36%$1.02M
Asahi Kasei Corp0.35%$1.01M
Kuehne + Nagel International AG0.35%$1.01M
Kawasaki Kisen Kaisha Ltd0.33%$942.62K
Relx PLC0.32%$927.59K
Tokio Marine Holdings Inc0.32%$922.49K
Sumitomo Metal Mining Co Ltd0.32%$919.86K
Sonova Holding AG0.32%$918.71K
Dassault Systemes SE0.32%$916.06K
Brambles Ltd0.32%$911.88K
Denso Corp0.32%$904.96K
Kubota Corp0.31%$899.17K
Mercedes-Benz Group AG0.31%$886.79K
Klepierre SA0.30%$847.42K
Fast Retailing Co Ltd0.29%$832.44K
Glencore PLC0.29%$827.56K
National Australia Bank Ltd0.28%$808.13K
Inpex Corp0.28%$792.87K
adidas AG0.28%$792.08K
Boliden AB0.27%$782.44K
Mitsui & Co Ltd0.27%$782.45K
Spotify Technology SA0.27%$769.41K
Amundi SA0.27%$768.93K
BlackRock Funds III0.27%$768.37K
Chugai Pharmaceutical Co Ltd0.26%$755.01K
Compass Group PLC0.26%$750.87K
Komatsu Ltd0.26%$737.63K
Ucb SA0.26%$736.17K
Societe Generale SA0.26%$731.29K
Bank of Ireland Group PLC0.25%$727.86K
Telefonaktiebolaget LM Ericsson0.25%$722.88K
Cellnex Telecom SA0.25%$711.06K
Stantec Inc0.25%$707.62K
NEC Corp0.25%$704.33K
WSP Global Inc0.24%$700.18K
Kioxia Holdings Corp0.24%$696.84K
Olympus Corp0.24%$689.19K
Daiichi Life Group Inc0.24%$687.27K
Stora Enso Oyj0.23%$665.94K
Daiichi Sankyo Co Ltd0.23%$659.39K
Informa PLC0.22%$642.86K
Secom Co Ltd0.22%$641.83K
Unilever PLC0.22%$638.38K
Kone Oyj0.22%$633.80K
Tesco PLC0.22%$629.94K
Celestica Inc0.22%$620.77K
Investment AB Latour0.22%$620.18K
Sun Hung Kai Properties Ltd0.21%$604.25K
Legal & General Group PLC0.21%$603.49K
SoftBank Corp0.21%$602.42K
Vestas Wind Systems A/S0.21%$600.10K
Shiseido Co Ltd0.21%$598.53K
Sumitomo Electric Industries Ltd0.21%$591.61K
AIB Group PLC0.20%$585.44K
Sse PLC0.20%$582.87K
Mowi ASA0.20%$581.64K
J Sainsbury PLC0.20%$576.86K
Legrand SA0.20%$571.93K
Telstra Group Ltd0.20%$571.66K
Anheuser-Busch InBev SA/NV0.19%$557.26K
Diageo PLC0.19%$557.25K
3i Group PLC0.19%$553.68K
Fujitsu Ltd0.19%$553.18K
Murata Manufacturing Co Ltd0.19%$551.33K
Saab AB0.19%$540.22K
Asahi Group Holdings Ltd0.19%$535.38K
SCREEN Holdings Co Ltd0.19%$533.99K
Genmab A/S0.19%$531.35K
Nitto Denko Corp0.19%$530.02K
Mitsubishi Corp0.18%$526.11K
London Stock Exchange Group PLC0.18%$525.68K
Daifuku Co Ltd0.18%$523.07K
Siemens Healthineers AG0.18%$511.48K
Safran SA0.18%$509.30K
DBS Group Holdings Ltd0.18%$506.00K
Orsted AS0.18%$501.85K
Keyence Corp0.18%$501.59K
Renesas Electronics Corp0.17%$489.07K
Suncorp Group Ltd0.17%$483.94K
Mitsubishi Electric Corp0.17%$482.71K
Fortescue Ltd0.16%$467.13K
Nokia Oyj0.16%$461.45K
Novonesis Novozymes B0.16%$461.00K
Ajinomoto Co Inc0.16%$447.16K
Honda Motor Co Ltd0.16%$446.53K
MTR Corp Ltd0.16%$445.12K
Symrise AG0.16%$444.45K
Fortum Oyj0.15%$442.38K
ANZ Group Holdings Ltd0.15%$439.80K
Jeronimo Martins SGPS SA0.15%$438.82K
Toyota Tsusho Corp0.15%$427.50K
Sands China Ltd0.15%$418.57K
Teck Resources Ltd0.14%$407.04K
Kingspan Group PLC0.14%$407.09K
Infineon Technologies AG0.14%$405.39K
Mizuho Financial Group Inc0.14%$399.20K
Terumo Corp0.14%$399.02K
Norsk Hydro ASA0.14%$397.37K
Yokogawa Electric Corp0.14%$395.88K
Keppel Ltd0.14%$395.64K
Moncler SpA0.14%$392.52K
Zalando SE0.14%$392.23K
Nebius Group NV0.14%$391.48K
Woodside Energy Group Ltd0.14%$389.53K
Bombardier Inc0.14%$389.33K
Aviva PLC0.13%$383.31K
Rheinmetall AG0.13%$374.11K
Erste Group Bank AG0.13%$373.35K
Bandai Namco Holdings Inc0.13%$367.91K
Logitech International SA0.13%$367.16K
Power Corp of Canada0.13%$361.30K
Kajima Corp0.12%$350.85K
Teva Pharmaceutical Industries Ltd0.12%$350.70K
Phoenix Financial Ltd0.12%$350.04K
Brookfield Renewable Corp0.12%$348.52K
Mitsubishi Estate Co Ltd0.12%$339.88K
IHI Corp0.12%$337.46K
Rexel SA0.12%$337.32K
Bank Leumi Le-Israel BM0.12%$335.99K
Neste Oyj0.12%$333.83K
Centrica PLC0.12%$333.31K
Bank Hapoalim BM0.12%$331.81K
Fujikura Ltd0.12%$329.89K
Kyowa Kirin Co Ltd0.12%$329.08K
Nintendo Co Ltd0.12%$329.14K
Suzuki Motor Corp0.11%$327.64K
Mitsui OSK Lines Ltd0.11%$325.09K
Coca-Cola HBC AG0.11%$323.26K
Panasonic Holdings Corp0.11%$317.31K
REA Group Ltd0.11%$312.60K
Unibail-Rodamco-Westfield0.11%$309.23K
Taisei Corp0.11%$307.81K
Sampo Oyj0.10%$293.48K
Brookfield Corp0.10%$293.51K
Carrefour SA0.10%$292.97K
Aeon Co Ltd0.10%$285.70K
Dsv A/s0.10%$280.74K
Meridian Energy Ltd0.10%$280.48K
Carlsberg AS0.10%$278.90K
Telecom Italia SpA/Milano0.10%$277.07K
Leonardo SpA0.09%$270.23K
Gecina SA0.09%$269.77K
Skf Ab0.09%$267.86K
Swatch Group AG/The0.09%$264.71K
Swedish Orphan Biovitrum AB0.09%$262.95K
Nomura Research Institute Ltd0.09%$260.34K
Generali0.09%$254.31K
Disco Corp0.09%$250.20K
FANUC Corp0.09%$245.80K
Restaurant Brands International Inc0.09%$244.88K
Atlas Copco AB0.08%$241.73K
STMicroelectronics NV0.08%$240.97K
Kirin Holdings Co Ltd0.08%$238.65K
Japan Post Bank Co Ltd0.08%$235.89K
Schroders PLC0.08%$233.67K
QBE Insurance Group Ltd0.08%$232.70K
Antofagasta PLC0.08%$232.46K
Canadian Tire Corp Ltd0.08%$230.75K
Repsol SA0.08%$230.13K
Sodexo SA0.08%$226.99K
Reckitt Benckiser Group PLC0.08%$224.22K
KDDI Corp0.08%$221.08K
Zurich Insurance Group AG0.08%$217.85K
Talanx AG0.08%$217.32K
Wolters Kluwer NV0.07%$208.36K
Lasertec Corp0.07%$206.76K
Rockwool A/s0.07%$205.38K
TDK Corp0.07%$201.90K
Link REIT0.07%$200.88K
Ibiden Co Ltd0.07%$200.09K
Barry Callebaut AG0.07%$199.23K
Verbund AG0.07%$197.20K
AddTech AB0.07%$196.41K
Holcim AG0.07%$193.91K
ArcelorMittal SA0.07%$192.98K
CAE Inc0.07%$191.24K
Capcom Co Ltd0.07%$190.91K
Bayer AG0.07%$189.68K
BioMerieux0.07%$187.23K
Makita Corp0.07%$186.82K
Thales SA0.06%$183.05K
Akzo Nobel NV0.06%$181.83K
Snam SpA0.06%$179.35K
Enlight Renewable Energy Ltd0.06%$176.36K
Elbit Systems Ltd0.06%$176.11K
LY Corp0.06%$173.86K
Lundin Gold Inc0.06%$171.95K
Lottery Corp Ltd/The0.06%$165.76K
Element Fleet Management Corp0.06%$163.35K
Axa SA0.06%$162.74K
Lynas Rare Earths Ltd0.06%$161.99K
BCE Inc0.06%$158.23K
Idemitsu Kosan Co Ltd0.06%$157.18K
Furukawa Electric Co Ltd0.05%$154.56K
BT Group PLC0.05%$148.52K
Amadeus IT Group SA0.05%$147.81K
Fisher & Paykel Healthcare Corp Ltd0.05%$143.07K
Julius Baer Group Ltd0.05%$141.99K
Swisscom AG0.05%$141.39K
Wartsila OYJ Abp0.05%$134.46K
ANA Holdings Inc0.05%$132.82K
MTU Aero Engines AG0.05%$130.40K
Santos Ltd0.04%$127.46K
Credit Agricole SA0.04%$126.50K
Kongsberg Gruppen ASA0.04%$126.14K
Kering SA0.04%$125.76K
Evonik Industries AG0.04%$121.88K
Kawasaki Heavy Industries Ltd0.04%$119.59K
Subaru Corp0.04%$119.16K
Salmar ASA0.04%$119.18K
InPost SA0.04%$117.02K
Chocoladefabriken Lindt & Spruengli AG0.04%$115.42K
BE Semiconductor Industries NV0.04%$114.43K
M&g PLC0.04%$112.46K
Kesko Oyj0.04%$112.18K
Covivio SA/France0.04%$110.92K
Capgemini SE0.04%$109.11K
Singapore Technologies Engineering Ltd0.04%$102.15K
Daikin Industries Ltd0.04%$101.40K
Equinor ASA0.03%$98.69K
Sun Life Financial Inc0.03%$98.40K
Cameco Corp0.03%$97.26K
Whitecap Resources Inc0.03%$97.26K
Prysmian SpA0.03%$96.87K
Henkel AG & Co KGaA0.03%$94.68K
Rakuten Group Inc0.03%$92.29K
Grab Holdings Ltd0.03%$91.50K
Getlink SE0.03%$84.24K
PLS Group Ltd0.03%$84.39K
Publicis Groupe SA0.03%$84.10K
Pearson PLC0.03%$81.57K
Futu Holdings Ltd0.03%$80.52K
Daiwa Securities Group Inc0.03%$78.31K
Vinci SA0.03%$76.10K
Mitsui Kinzoku Co Ltd0.03%$75.31K
Resona Holdings Inc0.03%$71.87K
TELUS Corp0.02%$68.40K
Haleon PLC0.02%$66.37K
Wise Group PLC0.02%$64.56K
Assa Abloy AB0.02%$64.19K
Yangzijiang Shipbuilding Holdings Ltd0.02%$61.97K
JX Advanced Metals Corp0.02%$60.24K
CSL Ltd0.02%$57.41K
Pernod Ricard SA0.02%$56.74K
Indra Sistemas SA0.02%$56.15K
Smith & Nephew PLC0.02%$56.16K
UniCredit SpA0.02%$55.55K
SITC International Holdings Co Ltd0.02%$55.46K
Millicom International Cellular SA0.02%$50.22K
Harel Insurance Investments & Financial Services Ltd0.02%$48.90K
National Grid PLC0.02%$48.69K
Heidelberg Materials AG0.02%$48.03K
Contra Cyberark Softwa0.02%$47.20K
Sumitomo Corp0.02%$46.71K
SMC Corp0.02%$43.21K
Alstom SA0.01%$42.28K
Resonac Holdings Corp0.01%$41.65K
Aker BP ASA0.01%$39.11K
Telefonica SA0.01%$38.05K
Experian PLC0.01%$36.98K
Isuzu Motors Ltd0.01%$34.31K
ICE Futures U.S., Inc.0.01%$23.65K
Marubeni Corp0.01%$22.62K

C000226202 overview: performance, fees, allocation and SEC filings