C000251728 Holdings — iShares Technology Opportunities Active ETF

All 56 reported holdings of iShares Technology Opportunities Active ETF (C000251728) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp10.76%$3.97M
Broadcom Inc8.44%$3.11M
Apple Inc5.41%$2.00M
SK hynix Inc4.78%$1.77M
Taiwan Semiconductor Manufacturing Co Ltd4.78%$1.76M
Alphabet Inc4.54%$1.67M
Microsoft Corp4.46%$1.64M
Samsung Electronics Co Ltd4.36%$1.61M
Lam Research Corp4.08%$1.51M
Advanced Micro Devices Inc3.61%$1.33M
Intel Corp3.01%$1.11M
Monolithic Power Systems Inc2.79%$1.03M
Advantest Corp2.53%$933.59K
Amazon.com Inc2.14%$791.47K
Lumentum Holdings Inc1.86%$686.67K
Elite Material Co Ltd1.61%$596.02K
Vertiv Holdings Co1.60%$588.98K
Arista Networks Inc1.58%$584.11K
Gold Circuit Electronics Ltd1.47%$543.19K
Siemens Energy AG1.38%$508.19K
Meta Platforms Inc1.36%$502.38K
Tesla Inc1.33%$491.54K
Western Digital Corp1.30%$478.41K
BlackRock Funds III1.28%$473.03K
ASE Technology Holding Co Ltd1.27%$470.24K
ASML Holding NV1.19%$439.45K
Palo Alto Networks Inc1.07%$394.50K
Crowdstrike Holdings Inc1.06%$390.92K
Chroma ATE Inc0.93%$341.65K
Corning Inc0.92%$339.65K
Sandisk Corp/DE0.88%$325.66K
Snowflake Inc0.86%$316.20K
SoftBank Group Corp0.84%$310.85K
Coherent Corp0.82%$303.40K
Teradyne Inc0.75%$277.52K
Flex Ltd0.75%$276.11K
EchoStar Corp0.72%$267.46K
Take-Two Interactive Software Inc0.70%$258.22K
Resonac Holdings Corp0.69%$256.24K
Cisco Systems Inc0.66%$244.58K
Oracle Corp0.63%$233.69K
Hyundai Motor Co0.59%$216.75K
Advanced Energy Industries Inc0.56%$207.31K
Palantir Technologies Inc0.48%$177.37K
MercadoLibre Inc0.47%$173.89K
Spotify Technology SA0.47%$173.26K
Cadence Design Systems Inc0.44%$160.84K
Blackrock Cash Funds Treasury Sl Agency Shares0.43%$160.00K
Kratos Defense & Security Solutions Inc0.41%$152.45K
Datadog Inc0.40%$146.86K
Baidu Inc0.38%$139.31K
Cboe Global Markets Inc0.35%$128.14K
PayPay Corp0.32%$116.79K
AppLovin Corp0.28%$104.00K
MongoDB Inc0.26%$97.57K
Shopify Inc0.23%$85.76K

C000251728 overview: performance, fees, allocation and SEC filings