ETF Components for IGM - iShares North American Tech 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
MSFT A 0.32 8.62
META B 0.09 8.55
AAPL A 0.58 8.23
NVDA B 4.57 8.21
GOOGL A 0.31 4.82
AVGO B 4.33 4.21
GOOG A 0.42 4.04
NFLX A 0.43 2.41
AMD B -0.25 2.16
ADBE B 0.43 1.97
CRM C 1.86 1.96
QCOM B 1.82 1.88
ORCL A 0.77 1.85
AMAT B 1.02 1.62
ACN C 0.63 1.61
CSCO D -0.40 1.60
TXN B 0.26 1.48
INTU B 0.56 1.47
IBM B -0.89 1.32
MU C 3.19 1.30
NOW B -1.03 1.29
LRCX A 0.92 1.15
INTC D 0.51 1.09
ADI B 0.78 0.95
KLAC B 1.69 0.92
PANW B 0.22 0.87
SNPS B -0.44 0.76
CRWD A 0.55 0.74
CDNS B -0.41 0.71
ANET A 2.36 0.71
APH B 0.34 0.68
SHOP C 1.01 0.65
NXPI B 0.09 0.58
MSI B -0.25 0.54
ROP B -0.47 0.50
MRVL C 0.84 0.49
ADSK B -0.63 0.43
PLTR B 0.08 0.41
MCHP C 1.65 0.40
TEL B -0.77 0.38
WDAY D -0.53 0.38
SNOW D 0.66 0.35
SMCI C 1.17 0.35
MPWR A 1.26 0.33
DDOG B -0.19 0.31
FTNT D -0.46 0.31
DELL B -0.56 0.31
FICO A 0.04 0.30
CTSH C -0.45 0.29
IT C 0.37 0.29
EA B -0.15 0.28
GLW B 0.08 0.26
HPQ C 0.14 0.26
HUBS D 1.40 0.25
CDW D -0.46 0.25
ANSS C -0.05 0.24
ON D -0.33 0.24
PINS B -0.32 0.23
HPE C -2.13 0.23
FSLR C 6.63 0.23
NTAP A 0.29 0.22
TEAM D -0.01 0.22
WDC B -0.33 0.21
TTWO C -0.74 0.21
MSTR D -1.37 0.20
KEYS F -0.82 0.20
NET B -0.61 0.20
TER A 1.40 0.19
PTC B 0.59 0.18
GDDY A 0.52 0.17
STX B -1.71 0.17
ENTG B 2.98 0.17
TYL B -0.09 0.17
GIB C 0.80 0.17
PSTG C 1.47 0.16
RBLX B 1.70 0.15
TDY D 0.71 0.15
ZS B 0.88 0.14
MDB D 1.95 0.14
SNAP C -3.14 0.14
SWKS C -2.18 0.14
ZM D 0.50 0.13
VRSN C -0.30 0.13
ZBRA C 0.91 0.13
ENPH F 3.55 0.12
OKTA C 0.19 0.12
APP A 3.92 0.12
MANH B 0.23 0.12
NTNX D -1.94 0.11
GEN B -1.12 0.11
AKAM F -0.54 0.11
TRMB D -1.26 0.11
JBL F 1.45 0.11
GWRE A 0.23 0.10
JNPR B -0.60 0.10
BSY D 0.43 0.10
DT F -1.30 0.09
EPAM D 1.23 0.09
DOCU D -0.35 0.09
ONTO B 1.71 0.09
QRVO B -1.49 0.09
ESTC B 1.06 0.08
OLED A 2.13 0.08
SNX D 0.96 0.08
TWLO D -1.38 0.08
COHR A 1.37 0.08
FFIV D -1.06 0.08
LSCC D 3.57 0.07
CGNX B -0.06 0.07
MTCH F 0.24 0.07
DSGX A -0.68 0.07
OTEX D 1.50 0.07
MKSI B 1.70 0.07
FN C -0.29 0.07
CLS B -0.24 0.06
CFLT D -1.75 0.06
CRUS A -0.92 0.06
CIEN F -0.63 0.06
SPSC B -1.20 0.06
BMI C 0.98 0.05
AZPN C 2.30 0.05
NSIT B -0.35 0.05
ALTR B -0.27 0.05
IOT C 0.56 0.05
PCOR C 1.24 0.05
NOVT C 0.00 0.05
MTSI A 0.14 0.05
SMAR B -2.04 0.05
RMBS D 0.97 0.05
KD B -0.60 0.05
VNT D 0.13 0.05
LFUS C 0.50 0.05
ARW D 0.16 0.05
ITRI C 0.69 0.04
ACLS B 0.38 0.04
FORM A 2.12 0.04
BILL F -0.71 0.04
DLB D -0.44 0.04
AVT D 0.55 0.04
GTLB D 2.74 0.04
VRNS B -0.06 0.04
TENB D -0.71 0.04
HCP A 0.39 0.04
PATH F 0.00 0.04
APPF B 1.14 0.04
QLYS D -0.13 0.04
MARA B -5.15 0.04
CVLT A -0.49 0.04
DBX D 0.13 0.04
S D -1.52 0.04
BLKB D 0.48 0.03
ALRM D 1.93 0.03
IAC F 0.00 0.03
DIOD D 0.75 0.03
TDC C 0.32 0.03
LITE B 0.56 0.03
DXC C -0.33 0.03
SYNA D 0.72 0.03
ZI F 0.00 0.03
WK F 1.02 0.03
SLAB D 0.46 0.03
PI C 0.75 0.03
QTWO C 1.10 0.03
BOX D -1.21 0.03
SANM B 0.91 0.03
CRDO B 0.73 0.03
CLSK D -4.61 0.03
CCCS D 0.36 0.03
BDC C 0.47 0.03
U F -1.75 0.03
POWI D 0.17 0.03
ASGN D 0.30 0.03
ACIW A 0.36 0.03
AEIS C 0.29 0.03
AMKR B 0.20 0.03
SMTC D -1.56 0.02
LSPD F -0.44 0.02
MIR C 0.19 0.02
TRIP F -0.85 0.02
PLUS C -0.30 0.02
CARG C -4.55 0.02
ALGM C 3.69 0.02
ENV C 1.74 0.02
ROG C 0.75 0.02
TTMI A 2.72 0.02
NCNO C -0.70 0.02
BRZE D 0.18 0.02
RAMP D 0.28 0.02
AUR C 1.39 0.02
AMBA B 1.66 0.02
CALX C 0.73 0.02
AGYS A 0.36 0.02
PD C -0.32 0.02
VRNT C 0.28 0.02
PRGS B -0.75 0.02
UCTT A 1.69 0.02
OSIS D 0.02 0.02
SITM B 0.15 0.02
SQSP A 0.57 0.02
FRSH D -2.30 0.02
RNG D 0.18 0.02
RPD C -1.78 0.02
IPGP D -0.39 0.02
BL D 0.56 0.02
YELP F -0.17 0.02
RIOT F -1.54 0.02
ZD F 2.37 0.02
ZETA B -0.23 0.02
PEGA D -0.49 0.02
VECO B 0.42 0.02
KLIC B 0.22 0.02
DV F 1.57 0.02
PRFT B 0.17 0.02
AI B 1.67 0.02
CWAN C 2.03 0.02
VSH D 1.28 0.02
WOLF F -0.80 0.02
PLXS C 0.23 0.02
IDCC A 0.24 0.02
FIVN F -0.72 0.02
CXT D -1.09 0.02
ZIP F -1.64 0.01
CNXN D -0.56 0.01
ETWO D 3.15 0.01
DGII D -1.22 0.01
FSLY F 3.21 0.01
SSTK F -0.34 0.01
VSAT F 5.46 0.01
ATEN D 0.00 0.01
JAMF D -1.22 0.01
BMBL F 0.62 0.01
AVPT B -0.39 0.01
NABL B 0.20 0.01
MODN B 0.00 0.01
CXM D 2.55 0.01
MTTR C -0.23 0.01
PDFS B -2.41 0.01
ASAN D -0.44 0.01
ALKT B -0.17 0.01
INFN B 0.97 0.01
BB F 1.63 0.01
ADEA C -0.09 0.01
APPN D -1.09 0.01
IONQ F 0.42 0.01
ZUO D 0.42 0.01
ICHR C 1.41 0.01
PRO F -0.07 0.01
PWSC B 0.31 0.01
NTCT D 0.69 0.01
DBD C 3.04 0.01
NSSC A 0.75 0.01
BHE B 1.17 0.01
EVBG B 0.00 0.01
XRX F -1.02 0.01
HLIT B 0.34 0.01
INTA B -0.19 0.01
MXL B -0.14 0.01
COHU B -0.18 0.01
SEDG F 4.41 0.01
KN D -0.53 0.01
VIAV D 1.29 0.01
CTS D 1.18 0.01
PLAB D -0.08 0.01
SPT D -0.71 0.01
YOU B -1.25 0.01
EXTR D -1.00 0.01
VERX B -0.51 0.01
DOCN D -0.97 0.01
VYX D 0.16 0.01
COMM F 1.75 0.00
TWKS F 0.00 0.00
RBBN B 0.61 0.00
AAOI F 3.42 0.00
AVNW F 1.26 0.00
ADTN F -0.19 0.00
SEMR D 0.88 0.00
NTGR C 0.20 0.00
MLNK C -1.93 0.00
CRSR F 0.48 0.00
CLFD C 1.96 0.00
GDYN C -0.38 0.00
PLTK F 1.92 0.00
SWI B -1.55 0.00

Recent News for iShares North American Tech ETF & its Holdings

Date Stock Title
Jul 3 MSFT Amazon’s Luxury Deal Poses a Quandary for FTC
Jul 3 MSFT Microsoft to Pay $14.4 Million to Resolve Leave Discrimination Claims in California
Jul 3 IBM International Business Machines Corporation (IBM): A Good Dividend Aristocrat to Buy Now?
Jul 3 AAPL 3 Warren Buffett Stocks to Hold Forever
Jul 3 IT $100 Invested In Gartner 15 Years Ago Would Be Worth This Much Today
Jul 3 CLS How This Egg Producer Beat Nvidia In IBD 50's First 6 Months Of 2024
Jul 3 NVDA How This Egg Producer Beat Nvidia In IBD 50's First 6 Months Of 2024
Jul 3 NET Cloudflare launches a tool to combat AI bots
Jul 3 META Meta's Threads tops 175 million monthly active users, Zuckerberg says
Jul 3 NVDA Stock Market Today: S&P 500, Nasdaq Hit Highs Before Holiday, Jobs Report As Tesla, Nvidia Jump
Jul 3 META Threads user count reaches 175 million in its first year
Jul 3 MSFT Microsoft Hack Also Impacted VA, State Department Agency
Jul 3 META Top Research Reports for Apple, Meta Platforms & Tesla
Jul 3 AAPL Top Research Reports for Apple, Meta Platforms & Tesla
Jul 3 DDOG Datadog Welcomes David Galloreese as New Chief People Officer
Jul 3 APP AppLovin to Announce Second Quarter 2024 Results
Jul 3 AI Tesla's July 4th Plans In China: Elon Musk To Show Off Cybertruck, Optimus Bot At World AI Conference This Week
Jul 3 FSLR S&P 500 Gains and Losses Today: Paramount Pops on Reports of Resuscitated Skydance Deal
Jul 3 NFLX Fourth Of July Hot Dog Eating Contest: Betting Odds Favor New Champion As Joey Chestnut Sits Out
Jul 3 FICO $100 Invested In This Stock 10 Years Ago Would Be Worth $2,400 Today
The investment seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P North American Technology Sector IndexTM (the "underlying index"). The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. The underlying index measures the performance of U.S.-traded stocks of technology-related companies in the United States and Canada. Components primarily include information technology and technology companies. The fund is non-diversified.
Exchange Traded Fund ETF Index Fund Fundamental Analysis
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