EFAV Holdings — iShares Edge MSCI Min Vol EAFE ETF

All 263 reported holdings of iShares Edge MSCI Min Vol EAFE ETF (EFAV) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Eni S.p.a.1.68%$91.10M
Totalenergies SE1.67%$90.10M
Equinor Asa1.59%$85.83M
Shell PLC1.57%$85.11M
Iberdrola, S.A.1.51%$81.46M
Dbs Group Holdings Ltd.1.47%$79.74M
Orange SA1.43%$77.23M
Swisscom AG1.41%$76.35M
Takeda Pharmaceutical Company Limited1.40%$75.91M
Novartis AG1.36%$73.47M
Secom Co., Ltd.1.34%$72.73M
Zurich Insurance Group AG1.34%$72.63M
Boc Hong Kong (holdings) Limited1.29%$69.78M
Koninklijke Ahold Delhaize N.V.1.24%$67.12M
Sampo Oyj1.14%$61.93M
Unilever PLC1.10%$59.70M
Swiss Prime Site AG1.08%$58.33M
SoftBank Corp.1.07%$57.80M
Nestle S.A.1.06%$57.34M
Bank Hapoalim B.m.1.05%$56.65M
Oversea-Chinese Banking Corporation Limited1.05%$56.60M
Clp Holdings Limited1.01%$54.87M
Power Assets Holdings Limited0.98%$53.10M
Kddi Corporation0.97%$52.26M
Bae Systems PLC0.95%$51.44M
Japan Tobacco Inc.0.91%$49.09M
East Japan Railway Company0.91%$49.06M
Shionogi & Co., Ltd.0.88%$47.60M
Koninklijke KPN N.V.0.86%$46.60M
Singapore Exchange Limited0.86%$46.49M
Danone SA0.80%$43.53M
OBIC Co.,Ltd.0.80%$43.08M
Sanofi SA0.79%$42.52M
Transurban Group0.77%$41.72M
Astrazeneca PLC0.77%$41.53M
Helvetia Baloise Holding AG0.75%$40.31M
L'air Liquide Societe Anonyme Pour L'etude Et L'exploitation Des Procedes Georges Claude SA0.74%$40.07M
Poste Italiane - Societa Per Azioni0.74%$40.06M
Otsuka Holdings Co., Ltd.0.73%$39.60M
Central Japan Railway Company0.72%$38.89M
Bank Leumi Le Israel B.m.0.70%$37.65M
Schindler Holding AG0.69%$37.10M
Haleon PLC0.65%$35.38M
British American Tobacco P.l.c.0.65%$35.18M
NTT, Inc.0.65%$35.12M
United Overseas Bank Limited0.65%$34.94M
Bridgestone Corporation0.64%$34.85M
Astellas Pharma Inc.0.64%$34.55M
Fast Retailing Co., Ltd.0.64%$34.36M
JAPAN POST BANK Co.,Ltd.0.63%$34.30M
Gsk PLC0.63%$34.25M
Medibank Private Limited0.63%$34.19M
Industria de Diseno Textil, S.A.0.63%$33.98M
Tryg A/s0.62%$33.67M
Groep Brussel Lambert NV0.62%$33.57M
Deutsche Telekom AG0.62%$33.31M
Daito Trust Construction Co.,ltd.0.61%$33.00M
Kao Corporation0.61%$32.80M
Nippon Building Fund Inc.0.60%$32.62M
Singapore Technologies Engineering Ltd.0.59%$31.87M
Deutsche Boerse Aktiengesellschaft0.58%$31.21M
HKT Trust and HKT Limited0.57%$30.92M
Snam S.p.a.0.57%$30.70M
Compass Group PLC0.55%$29.95M
KONE Oyj0.54%$29.10M
Anheuser-Busch Inbev SA0.54%$28.99M
National Grid PLC0.54%$28.97M
Mitsubishi Corporation0.52%$28.38M
Commonwealth Bank Of Australia0.51%$27.85M
Elisa Oyj0.51%$27.60M
Redeia Corporacion, S.a.0.51%$27.54M
Aena, S.M.E., S.A.0.51%$27.38M
Coles Group Limited0.50%$27.11M
Elbit Systems Ltd.0.49%$26.53M
Ck Infrastructure Holdings Limited0.49%$26.53M
E.on SE0.48%$25.96M
Mizrahi Tefahot Bank Ltd.0.47%$25.63M
Tesco PLC0.46%$25.14M
argenx SE0.46%$24.83M
Canon Inc.0.45%$24.60M
Banque Cantonale Vaudoise0.44%$23.80M
Nordea Bank Abp0.43%$23.24M
Galp Energia, SGPS, S.A.0.43%$23.15M
Chocoladefabriken Lindt & Spruengli AG0.43%$23.12M
Telstra Group Limited0.43%$23.08M
CaixaBank, S.A.0.42%$22.74M
The Hong Kong And China Gas Company Limited0.41%$22.09M
Muenchener Rueckversicherungs-Gesellschaft Aktiengesellschaft in Muenchen0.41%$22.07M
Osaka Gas Co., Ltd.0.40%$21.78M
Wesfarmers Limited0.40%$21.54M
Mtr Corporation Limited0.40%$21.49M
Otsuka Corporation0.39%$21.16M
Brambles Limited0.39%$20.98M
Daiwa House Industry Co., Ltd.0.38%$20.32M
Pan Pacific International Holdings Corporation0.37%$20.21M
Qiagen N.V.0.37%$19.91M
Pearson PLC0.37%$19.82M
Enel - Spa0.37%$19.80M
Endesa, Sociedad Anonima0.36%$19.33M
Singapore Telecommunications Limited0.36%$19.32M
Swire Pacific Limited0.35%$19.13M
Nomura Research Institute, Ltd.0.35%$19.11M
Roche Holding AG0.35%$18.87M
TIS Inc.0.35%$18.71M
Ucb SA0.33%$17.68M
Relx PLC0.32%$17.33M
Repsol, S.A.0.32%$17.28M
Kyocera Corporation0.32%$17.14M
ITOCHU Corporation0.32%$17.13M
Sap SE0.32%$17.07M
West Japan Railway Company0.31%$16.97M
Oriental Land Co., Ltd.0.30%$16.09M
Tokyu Corporation0.29%$15.89M
L'oreal SA0.29%$15.87M
Fujitsu Limited0.29%$15.84M
Israel Discount Bank Limited0.29%$15.82M
London Stock Exchange Group PLC0.29%$15.61M
Kyowa Kirin Co., Ltd.0.29%$15.53M
Assicurazioni Generali Societa Per Azioni0.29%$15.44M
Givaudan SA0.29%$15.42M
Bkw AG0.28%$15.22M
Roche Holding AG0.28%$14.97M
Kerry Group Public Limited Company0.27%$14.81M
Kirin Holdings Company, Limited0.27%$14.80M
Terna - Rete Elettrica Nazionale Societa Per Azioni0.27%$14.71M
Bp P.l.c.0.27%$14.34M
Beiersdorf Aktiengesellschaft0.26%$14.16M
Chugai Pharmaceutical Co., Ltd.0.26%$14.14M
Allianz SE0.26%$14.07M
Ferrari N.V.0.25%$13.63M
Nokia Oyj0.25%$13.41M
Keyence Corporation0.25%$13.39M
Suntory Beverage & Food Limited0.25%$13.33M
Ana Holdings Inc.0.25%$13.30M
Hoya Corporation0.24%$13.17M
Inpex Corporation0.24%$12.80M
Nitori Holdings Co., Ltd.0.24%$12.77M
Ryohin Keikaku Co., Ltd.0.23%$12.52M
Insurance Australia Group Limited0.23%$12.36M
Thales SA0.23%$12.36M
Chubu Electric Power Company, Incorporated0.23%$12.30M
Singapore Airlines Limited0.23%$12.18M
Bollore SE0.22%$12.00M
NEC Corporation0.22%$11.98M
Washington H. Soul Pattinson And Company Limited0.22%$11.86M
Sgs SA0.21%$11.61M
Aeon Co.,ltd.0.21%$11.36M
Heineken N.V.0.21%$11.31M
ZOZO, Inc.0.21%$11.14M
Swiss Re AG0.21%$11.11M
Tokyo Gas Co.,ltd.0.20%$10.94M
Sekisui Chemical Co., Ltd.0.20%$10.78M
Oracle Corporation Japan0.20%$10.67M
Csl Limited0.20%$10.66M
Auckland International Airport Limited0.19%$10.50M
Fisher & Paykel Healthcare Corporation Limited0.19%$10.36M
Obayashi Corporation0.19%$10.24M
OMV Aktiengesellschaft0.19%$10.22M
The Lottery Corporation Limited0.19%$10.16M
Japan Airlines Co., Ltd.0.19%$10.14M
Mitsubishi HC Capital Inc.0.19%$10.06M
Novozymes A/s0.18%$10.00M
Holcim AG0.18%$9.78M
Ryanair Holdings Public Limited Company0.18%$9.65M
Fresenius SE & Co. KGaA0.18%$9.51M
Sigma Healthcare Limited0.17%$9.29M
Unicredit, Societa Per Azioni0.17%$9.28M
Check Point Software Technologies Ltd.0.17%$9.25M
Unicharm Corporation0.17%$9.21M
Jeronimo Martins, SGPS, S.A.0.17%$9.19M
Hankyu Hanshin Holdings, Inc.0.17%$9.17M
Kongsberg Gruppen Asa0.17%$9.09M
Coca-Cola Europacific Partners PLC0.17%$9.02M
Shimadzu Corporation0.17%$9.00M
Anz Group Holdings Limited0.16%$8.84M
Sino Land Company Limited0.16%$8.82M
Mitsui & Co., Ltd.0.16%$8.77M
Admiral Group PLC0.16%$8.66M
Tsuruha Holdings Inc.0.15%$8.35M
Essilorluxottica SA0.15%$8.33M
Next PLC0.15%$8.27M
Getlink S.e.0.15%$8.26M
Jardine Matheson Holdings Limited0.15%$8.15M
Kuehne + Nagel International AG0.15%$8.07M
JAPAN POST HOLDINGS Co.,Ltd.0.15%$8.06M
Aib Group Public Limited Company0.15%$8.02M
Coloplast A/s0.14%$7.81M
Imperial Brands PLC0.14%$7.63M
Qbe Insurance Group Limited0.14%$7.47M
Terumo Corporation0.14%$7.35M
Geberit AG0.14%$7.30M
Verbund AG0.13%$7.06M
Mitsui O.S.K. Lines, Ltd.0.13%$6.95M
Euro0.13%$6.92M
Idemitsu Kosan Co.,Ltd.0.13%$6.91M
BlackRock Funds III: BlackRock Cash Funds: Institutional; SL Agency Shares0.12%$6.60M
Yara International Asa0.12%$6.56M
Danske Bank A/s0.12%$6.44M
The Sage Group Plc.0.11%$6.20M
Chocoladefabriken Lindt & Spruengli AG0.11%$6.19M
Dai Nippon Printing Co., Ltd.0.11%$6.06M
Rheinmetall Aktiengesellschaft0.11%$6.03M
MERCK Kommanditgesellschaft auf Aktien0.11%$5.93M
Westpac Banking Corporation0.11%$5.76M
Leonardo - Societa Per Azioni0.10%$5.25M
Woolworths Group Limited0.10%$5.24M
Wh Group Limited0.09%$5.09M
Mitsubishi UFJ Financial Group, Inc.0.09%$4.89M
Biomerieux SA0.09%$4.82M
Origin Energy Limited0.09%$4.79M
Tokyo Electron Limited0.09%$4.66M
Gjensidige Forsikring Asa0.08%$4.47M
Symrise AG0.08%$4.45M
Schindler Holding AG0.08%$4.44M
Reckitt Benckiser Group PLC0.08%$4.26M
Engie SA0.08%$4.17M
Genmab A/s0.07%$3.95M
Orion Oyj0.07%$3.89M
FUJIFILM Holdings Corporation0.07%$3.76M
Infratil Limited0.07%$3.65M
Kbc Groep NV0.07%$3.64M
Sun Hung Kai Properties Limited0.07%$3.62M
Telenor Asa0.06%$3.50M
Japanese Yen0.06%$3.46M
Carrefour SA0.06%$3.43M
Ck Hutchison Holdings Limited0.06%$3.36M
Euronext N.V.0.06%$3.11M
Banco Comercial Portugues, S.A.0.06%$3.07M
Zensho Holdings Co.,ltd.0.05%$2.97M
Alcon AG0.05%$2.96M
Meridian Energy Limited0.05%$2.95M
Carlsberg A/s0.05%$2.95M
Recordati Industria Chimica E Farmaceutica S.p.a.0.05%$2.93M
Hannover Rueck SE0.05%$2.80M
National Australia Bank Limited0.05%$2.79M
Cochlear Limited0.05%$2.72M
Seibu Holdings Inc.0.05%$2.72M
Italgas S.p.a.0.05%$2.61M
MonotaRO Co Ltd0.05%$2.52M
Toyota Motor Corporation0.05%$2.50M
Bandai Namco Holdings Inc.0.05%$2.44M
Nintendo Co., Ltd.0.04%$2.42M
Denso Corporation0.04%$2.22M
Norwegian Krone0.04%$2.15M
Henkel AG & Co. KGaA0.04%$2.15M
Israeli Shekel0.03%$1.84M
BlackRock Funds III: BlackRock Cash Funds: Treasury; SL Agency Shares0.03%$1.74M
Topix Indx Futr Jun260.01%$660.85K
Hong Kong Dollar0.01%$450.32K
Sgs SA Rts0.01%$432.55K
Singapore Dollars0.01%$418.93K
Swiss Franc0.01%$326.12K
Euro Stoxx 50 Jun260.00%$251.81K
Great British Pound0.00%$238.02K
Cyberark Software Ltd.0.00%$234.41K
Australian Dollar0.00%$208.28K
Danish Kroner0.00%$136.15K
Swedish Krone0.00%$118.50K
FTSE 100 Idx Fut Jun260.00%$43.07K
New Zealand Dollar0.00%$36.63K
Kongsberg Maritime ASA0.00%$8.34K
Spi 200 Futures Jun26-0.00%$-33.54K
United States of America-0.00%$-34.52K

EFAV overview: performance, fees, allocation and SEC filings