ESMV Holdings — iShares ESG MSCI USA Min Vol Factor ETF

All 158 reported holdings of iShares ESG MSCI USA Min Vol Factor ETF (ESMV) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Ge Vernova Inc.2.00%$146.27K
Cisco Systems, Inc.1.80%$131.85K
NVIDIA Corporation1.63%$119.54K
The Travelers Companies, Inc.1.54%$112.90K
Advanced Micro Devices, Inc.1.53%$112.37K
Welltower Inc.1.52%$111.71K
Amphenol Corporation1.50%$109.72K
Texas Instruments Incorporated1.49%$109.34K
Verizon Communications Inc.1.48%$108.21K
Motorola Solutions, Inc.1.42%$104.05K
Waste Management, Inc.1.38%$101.39K
Newmont Corporation1.37%$100.65K
Electronic Arts Inc.1.37%$100.38K
Public Service Enterprise Group Incorporated1.36%$99.95K
Merck & Co., Inc.1.36%$99.46K
Vertex Pharmaceuticals Incorporated1.35%$99.15K
Consolidated Edison, Inc.1.34%$98.56K
Trane Technologies PLC1.34%$98.51K
MercadoLibre, Inc.1.32%$96.80K
Mckesson Corporation1.30%$95.38K
The Kroger Co.1.29%$94.75K
The Coca-Cola Company1.29%$94.35K
Mastercard Incorporated1.28%$94.05K
Cencora, Inc.1.27%$93.33K
Gilead Sciences, Inc.1.27%$93.29K
Servicenow, Inc.1.26%$92.28K
Chubb Limited1.25%$91.89K
Northrop Grumman Corporation1.25%$91.56K
Visa Inc.1.21%$88.73K
Microsoft Corporation1.20%$87.67K
T-Mobile Us, Inc.1.17%$85.43K
Palo Alto Networks, Inc.1.15%$83.92K
Colgate-Palmolive Company1.12%$81.77K
International Business Machines Corporation1.10%$80.61K
Marsh & Mclennan Companies, Inc.1.08%$78.82K
The Progressive Corporation1.07%$78.50K
Cboe Global Markets, Inc.1.05%$77.12K
Mcdonald's Corporation1.05%$76.63K
Pepsico, Inc.1.04%$76.23K
Cme Group Inc.1.03%$75.41K
The Home Depot, Inc.1.02%$74.97K
Automatic Data Processing, Inc.1.00%$73.12K
Kinder Morgan, Inc.0.97%$70.83K
Elevance Health, Inc.0.96%$70.39K
The Procter & Gamble Company0.96%$70.31K
Marvell Technology, Inc.0.95%$69.86K
Roper Technologies, Inc.0.93%$68.48K
W.w. Grainger, Inc.0.92%$67.36K
Cardinal Health, Inc.0.91%$66.35K
At&t Inc.0.89%$65.12K
Johnson & Johnson0.89%$65.05K
Autodesk, Inc.0.86%$63.04K
The Tjx Companies, Inc.0.84%$61.92K
Synopsys, Inc.0.83%$60.81K
Exelon Corporation0.79%$57.99K
Intuit Inc.0.78%$57.11K
American Tower Corporation0.75%$54.81K
Exxon Mobil Corporation0.74%$54.48K
Ecolab Inc.0.72%$52.90K
Cadence Design Systems, Inc.0.71%$51.75K
Teledyne Technologies Incorporated0.70%$51.67K
S&P Global Inc.0.69%$50.89K
Accenture Public Limited Company0.68%$49.86K
Adobe Inc.0.68%$49.71K
Cms Energy Corporation0.65%$47.96K
Rtx Corporation0.65%$47.71K
Eli Lilly And Company0.65%$47.66K
Nextera Energy, Inc.0.64%$46.88K
General Mills, Inc.0.63%$46.22K
Church & Dwight Co., Inc.0.63%$45.91K
Salesforce, Inc.0.62%$45.54K
Quest Diagnostics Incorporated0.61%$45.05K
Crh Public Limited Company0.60%$44.29K
Lowe's Companies, Inc.0.60%$43.94K
Ciena Corporation0.58%$42.73K
Ptc Inc.0.55%$40.07K
Linde Public Limited Company0.53%$38.59K
Apple Inc.0.53%$38.53K
Micron Technology, Inc.0.52%$38.27K
Equinix, Inc.0.52%$37.90K
Verisign, Inc.0.51%$37.08K
YUM! Brands, Inc.0.48%$35.12K
Eversource Energy0.46%$34.01K
Uber Technologies, Inc.0.46%$33.72K
Autozone, Inc.0.45%$33.34K
Palantir Technologies Inc.0.45%$33.11K
Incyte Corporation0.43%$31.72K
Mondelez International, Inc.0.43%$31.40K
Liberty Media Corp. - Formula One Group0.42%$30.60K
Zoetis Inc.0.42%$30.47K
NXP Semiconductors N.V.0.41%$30.24K
Kimberly-Clark Corporation0.41%$29.82K
Broadcom Inc.0.40%$29.64K
Amgen Inc.0.40%$29.43K
Godaddy Inc.0.40%$29.16K
The Cigna Group0.40%$29.06K
Tyler Technologies, Inc.0.40%$29.00K
Monster Beverage Corporation0.39%$28.75K
Workday, Inc.0.37%$26.93K
First Solar, Inc.0.36%$26.45K
Broadridge Financial Solutions, Inc.0.35%$25.71K
Veralto Corporation0.34%$24.96K
Centene Corporation0.34%$24.91K
Oracle Corporation0.33%$24.05K
Te Connectivity Public Limited Company0.31%$22.86K
Honeywell International Incorporation0.26%$19.29K
Unitedhealth Group Incorporated0.26%$19.26K
Fair Isaac Corporation0.25%$18.45K
Alphabet Inc.0.24%$17.57K
Arista Networks, Inc.0.24%$17.44K
Arch Capital Group Ltd.0.24%$17.29K
Costco Wholesale Corporation0.24%$17.25K
Berkshire Hathaway Inc.0.23%$16.58K
Casey's General Stores, Inc.0.22%$16.44K
Gen Digital Inc.0.22%$16.36K
BlackRock Funds III: BlackRock Cash Funds: Treasury; SL Agency Shares0.21%$15.76K
Hormel Foods Corporation0.21%$15.67K
Cognizant Technology Solutions Corporation0.21%$15.18K
Cheniere Energy, Inc.0.20%$14.85K
Analog Devices, Inc.0.18%$13.27K
Republic Services, Inc.0.18%$12.97K
Keysight Technologies, Inc.0.18%$12.95K
Arthur J. Gallagher & Co.0.17%$12.80K
F5, Inc.0.17%$12.63K
Phillips 660.17%$12.54K
Applovin Corporation0.16%$11.61K
Keurig Dr Pepper Inc.0.15%$11.08K
Willis Towers Watson Public Limited Company0.14%$10.25K
Netapp, Inc.0.14%$10.19K
Alnylam Pharmaceuticals, Inc.0.14%$9.90K
Targa Resources Corp.0.12%$9.10K
Hubspot, Inc.0.12%$9.09K
Jack Henry & Associates, Inc.0.12%$8.61K
American International Group, Inc.0.12%$8.60K
Doordash, Inc.0.12%$8.60K
Humana Inc.0.12%$8.51K
Leidos Holdings, Inc.0.11%$7.91K
Flutter Entertainment Public Limited Company0.10%$7.56K
Abbott Laboratories0.09%$6.90K
Corning Incorporated0.09%$6.73K
Applied Materials, Inc.0.09%$6.71K
Tractor Supply Company0.09%$6.53K
Xylem Inc.0.09%$6.50K
American Water Works Company, Inc.0.09%$6.29K
Mccormick & Company, Incorporated0.09%$6.25K
Crowdstrike Holdings, Inc.0.09%$6.24K
Snowflake Inc.0.08%$6.14K
Regeneron Pharmaceuticals, Inc.0.08%$5.66K
Gartner, Inc.0.07%$5.35K
Nisource Inc.0.07%$5.07K
O'Reilly Automotive, Inc.0.06%$4.17K
Fortinet, Inc.0.06%$4.13K
Intercontinental Exchange, Inc.0.05%$3.79K
Waste Connections, Inc.0.05%$3.79K
Aon Public Limited Company0.05%$3.74K
Zscaler, Inc.0.04%$2.74K
Micro Emin Rus2000jun260.02%$1.55K
Hologic, Inc. Cvr0.00%$5

ESMV overview: performance, fees, allocation and SEC filings