ETF Components for EVUS - iShares ESG Aware MSCI USA Value ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
AVGO C -1.84 3.17
JPM A 0.29 2.70
UNH B -2.10 2.15
HD B -1.09 2.04
KO F -0.71 1.68
TXN B 0.14 1.59
XOM B 0.07 1.54
PG C 0.30 1.45
JNJ D -0.89 1.43
ORCL A -1.36 1.29
BAC A 0.07 1.27
ADP A -1.79 1.25
CVX A 1.94 1.22
IBM D -0.92 1.17
BRK.A B -0.23 1.16
ABBV F -0.42 1.08
GILD B -0.56 1.04
MS A -0.25 1.03
CSCO A -2.13 1.01
PRU B 0.39 0.98
PEG C -0.01 0.90
K A -0.41 0.89
AXP B 0.23 0.89
PEP D 0.25 0.88
AMGN F -1.83 0.84
GS B -0.94 0.84
HON B -1.03 0.82
NEE D 1.40 0.81
COP C 0.98 0.80
RTX D -3.90 0.80
KMI B -0.15 0.77
CMI A -0.71 0.76
LOW B -0.72 0.76
CAT B 0.07 0.76
DIS B 6.23 0.76
CRH B 0.70 0.75
VZ D -0.66 0.75
DHR F -0.89 0.73
BR A -0.63 0.72
OKE A -0.27 0.72
BK B -0.05 0.72
ELV F -0.94 0.69
C B -1.07 0.68
ECL C -0.92 0.65
QCOM F 2.21 0.65
MCD C 0.41 0.64
NI A -0.63 0.64
SPGI C 0.07 0.64
MMM C 0.66 0.62
PNR A -0.43 0.62
INTC C 0.44 0.61
GIS F -0.80 0.61
CCI F 0.16 0.60
EQIX B -0.34 0.60
PNC B -0.64 0.60
PFE F -2.62 0.58
AMT F -0.20 0.58
ACN B -2.20 0.56
CI D -2.46 0.56
NXPI F 0.45 0.54
MRK F -0.14 0.54
MET C 0.71 0.51
EXPD C 1.22 0.51
LIN D -0.60 0.50
COR B -2.62 0.50
HIG C -1.03 0.47
SYF B -0.37 0.47
WELL B -0.39 0.46
MU D -0.74 0.46
DFS B -0.47 0.45
DLR C 0.04 0.45
TRV B -0.06 0.45
NOC D -3.86 0.43
FERG B -0.16 0.43
CLX A 0.24 0.42
KR A -0.84 0.42
DE D 1.33 0.42
ZTS D -1.36 0.42
TGT C -0.98 0.41
CMCSA B -0.98 0.41
XYL F -1.70 0.41
CARR C -1.87 0.40
LKQ C 0.70 0.39
PGR A -1.48 0.39
CHRW A -0.18 0.39
OVV C 5.95 0.38
JCI A -0.67 0.38
BMY B 0.15 0.38
EA A 0.86 0.38
KEYS C -2.30 0.37
T A -0.22 0.37
CMS D -0.41 0.37
SCHW B 2.48 0.36
SBUX B -0.57 0.36
NDAQ B -2.27 0.36
FI A -1.09 0.36
IRM D -2.47 0.35
KMB D -0.39 0.35
ANSS B -1.11 0.35
CBRE B -2.62 0.35
HPE B -2.33 0.35
FLUT A 0.00 0.34
EXC C -0.05 0.34
PPG F 0.08 0.34
CAH B -3.22 0.32
UPS C -0.78 0.32
TAP B -1.80 0.32
BKR B 0.26 0.31
HCA D -1.09 0.31
PSX C -0.12 0.31
COO D -1.98 0.31
BLK A 1.56 0.31
PLD D -1.56 0.30
STE D -0.49 0.30
BG D 1.66 0.30
ETN B -2.11 0.29
NEM F -1.33 0.29
URI B -1.07 0.29
DGX B -2.31 0.29
D D -0.69 0.28
USB B -1.68 0.28
SLB C -0.32 0.28
HBAN A -0.06 0.28
KHC F -1.06 0.28
ADI D -0.28 0.28
DAL A 0.61 0.28
BBY C 0.97 0.28
EIX C -0.06 0.27
NUE D -3.82 0.27
CHD A 0.58 0.27
WFC A 0.04 0.26
WY F -0.10 0.26
FTV C -0.76 0.26
MMC D -1.87 0.25
ED D -0.18 0.25
FIS B -0.47 0.25
REGN F -2.71 0.24
TSCO D -0.60 0.24
ABT C -0.61 0.24
FBIN F -0.35 0.24
TFC B -0.56 0.23
J D -5.79 0.23
GEV B -2.17 0.23
CNH D 6.07 0.23
PYPL A -1.74 0.23
ZBH C -1.02 0.22
AFL C -0.69 0.22
LH B -3.27 0.22
VLO C 0.33 0.22
ES D 1.05 0.22
FDX B 0.14 0.22
WTRG C -0.70 0.21
KDP C -0.54 0.21
TRMB B -2.58 0.20
OC A -0.26 0.20
A F -3.02 0.20
AIZ A 1.05 0.19
FDS A 1.00 0.19
COF B -1.04 0.18
MRO B 0.80 0.18
STT B -1.04 0.18
CNC F 1.10 0.18
ACGL C -1.12 0.17
DHI D 1.62 0.17
TJX A -0.70 0.17
JBHT C -2.48 0.17
IEX B -0.70 0.17
WMB B -0.04 0.16
NTRS A -0.82 0.16
ALLE D 0.35 0.16
IP B 0.98 0.16
HPQ B -0.87 0.16
EQT B -1.04 0.15
HUBB C -3.02 0.15
TFX F -1.65 0.15
HOLX D -2.07 0.14
TWLO B -2.72 0.14
WTW A -0.66 0.14
MKC D -1.21 0.14
IR A -1.28 0.14
ROK B -0.05 0.13
CPB F 0.41 0.13
PAYX B -0.47 0.13
LDOS C -13.60 0.13
HII F -4.25 0.13
CB C 1.25 0.13
PHM D 1.54 0.13
WDC D 0.78 0.12
HRL F 0.07 0.12
AKAM F -0.45 0.12
STLD C -2.88 0.12
BXP D 0.10 0.12
PFG C -0.32 0.12
JNPR D 0.42 0.12
IFF F -0.53 0.12
FOX A 1.76 0.12
FSLR F 7.14 0.11
PSA D -0.94 0.11
DOW F -0.89 0.11
RMD C -1.70 0.11
APD B 0.96 0.11
AZPN A 0.40 0.11
GEN B -1.54 0.11
BIIB F -0.54 0.11
MKTX C -0.80 0.11
TMO F -1.64 0.11
SOLV C -3.06 0.11
FANG C 0.60 0.11
GEHC D -1.50 0.10
AVTR F -1.99 0.10
BALL D -0.86 0.10
CCK D -2.11 0.10
NTAP D -1.35 0.10
ULTA C 0.01 0.10
DD D -0.38 0.10
CBOE D 0.79 0.10
HUM D -2.17 0.10
ADM F 1.23 0.10
ICE C 0.40 0.10
ITW B -1.13 0.10
DOV A -0.93 0.10
MDLZ F -0.67 0.09
CVS F 1.51 0.09
KMX B 0.45 0.09
TTC F -0.73 0.09
STZ D 0.54 0.09
CAG F -0.69 0.09
IPG F -0.31 0.09
AVY F -1.51 0.09
SYY D -2.22 0.09
LYB F -1.05 0.08
NKE F -1.10 0.08
DG F 0.35 0.06
DLTR F 0.80 0.06

Recent News for iShares ESG Aware MSCI USA Value ETF & its Holdings

Date Stock Title
Nov 15 DIS Bob Iger Slams The Brakes On New M&A Amid Comcast's Cable Spinoff: Disney Doesn't 'Really Need More Assets' To Compete
Nov 15 CMCSA Bob Iger Slams The Brakes On New M&A Amid Comcast's Cable Spinoff: Disney Doesn't 'Really Need More Assets' To Compete
Nov 15 BAC China’s Economy Shows Green Shoots as Consumption Growth Jumps
Nov 15 BRK.A Tracking Warren Buffett's Berkshire Hathaway Portfolio - Q3 2024 Update
Nov 15 PFE Palantir, Moderna, Pfizer, Alibaba, Tesla: Why These 5 Stocks Are On Investors' Radars Today
Nov 15 DIS ValueAct Capital Amplifies Stake in Roblox Corp by Over 340%
Nov 15 AVGO Lee Ainslie's Strategic Moves in Q3 2024: A Deep Dive into Coupang Inc's Significant Reduction
Nov 15 AVGO Stanley Druckenmiller's Strategic Emphasis on Natera Inc in Q3 2024
Nov 15 DIS Disney plans to raise the price of key services
Nov 15 QCOM Philippe Laffont's Strategic Moves in Q3 2024: A Deep Dive into Dell Technologies' Major Reduction
Nov 15 KHC Hotchkis & Wiley Capitalizes on Kraft Heinz in Q3 2024 Investment Moves
Nov 15 ICE Third Point Hedge Fund Buys Tesla, Dumps Micron
Nov 15 VZ Third Point Hedge Fund Buys Tesla, Dumps Micron
Nov 15 MU Third Point Hedge Fund Buys Tesla, Dumps Micron
Nov 15 CVS Third Point Hedge Fund Buys Tesla, Dumps Micron
Nov 15 UPS Appaloosa Hedge Fund Buys Vistra, Sells Boeing
Nov 15 TXN Elliott Investment Management Adds To Southwest, Western Digital, Etsy, Match Group; Trims BILL Holdings, Seadrill, BlackLine, NRG Energy In Q3
Nov 15 WDC Elliott Investment Management Adds To Southwest, Western Digital, Etsy, Match Group; Trims BILL Holdings, Seadrill, BlackLine, NRG Energy In Q3
Nov 15 BLK Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 15 EQT Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
EVUS tracks an index of large- and mid-cap US value stocks perceived to have positive ESG characteristics. The parent index, MSCI USA Value Index, identifies value stocks through book value-to-price ratio, 12-month forward earnings-to-price ratio, and dividend yield. Securities are then screened to exclude companies involved in controversial businesses and issues (e.g., weapons, tobacco, climate change issues). All selected securities are assigned an ESG score that evaluates a companys exposure to key ESG issues based on the companys business segment and geographic risk, as well as their strategies and programs to manage these risks and opportunities. Using a sector-specific weighting model, companies are rated and ranked against industry peers. The quantitative process leans toward higher-rated stocks while also considering market-cap and constraints based on the parent index. The fund may engage in securities lending. The index is reviewed and rebalanced quarterly.
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