ETF Components for INRO - BlackRock U.S. Industry Rotation 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
NVDA B 2.48 7.42
AAPL C 0.85 5.57
TMUS A -1.10 4.59
MSFT D -0.09 4.18
META C -0.12 3.77
GOOGL B 0.96 3.12
GOOG B 0.95 2.71
JPM A -0.16 1.68
AVGO C -0.23 1.64
HON A -0.15 1.56
AMZN B 1.08 1.46
BXP D 0.70 1.38
TSLA A 1.64 1.32
HD A -0.49 1.16
AXP B 0.23 1.14
XOM A -1.10 0.95
NEE C 0.62 0.94
CBRE B 0.25 0.88
PM A -0.89 0.83
BAC A -0.50 0.79
MMM D -1.13 0.78
TT A 1.24 0.65
CSGP F -0.31 0.65
LLY F -0.17 0.64
WFC A -0.11 0.62
GS A -0.72 0.62
VMC B -0.46 0.61
SO C -0.09 0.59
MLM B 0.34 0.59
UNP D -0.34 0.55
DUK C -0.41 0.53
SPGI C 0.36 0.52
MS A 0.07 0.52
URI B -0.76 0.50
UBER F -0.59 0.50
AMD F -0.36 0.49
COF B -0.71 0.49
ETN B 1.35 0.48
CVX A -0.45 0.48
CRM B 0.11 0.47
GWW B -0.27 0.46
COST B 0.91 0.46
LOW A -3.44 0.45
CEG D 0.24 0.45
ORCL A 1.35 0.44
BX A 1.44 0.42
CARR D 0.46 0.42
TXN B -1.93 0.41
FAST B -0.55 0.41
WMT A 4.13 0.41
JCI A 0.08 0.40
ABBV F -0.38 0.40
QCOM F -0.23 0.39
MO A 0.17 0.39
TJX A -0.28 0.38
PWR A 0.47 0.37
WM B 0.40 0.37
SCHW A -1.04 0.37
JNJ D -1.23 0.36
CAT B -0.77 0.36
C A -0.83 0.34
CTAS B 0.65 0.34
DHI F 0.20 0.33
ADBE F 0.05 0.32
AMAT F -1.55 0.32
DFS B -0.81 0.31
KKR A -0.03 0.31
AEP C -0.21 0.31
GEV B 3.74 0.31
NOW B 0.46 0.30
ICE C 0.17 0.29
ADP B -0.20 0.29
INTU B -5.19 0.28
LEN D 0.63 0.28
MCO D -0.07 0.26
PCG A 0.05 0.26
CME A 0.98 0.26
TMO F 1.00 0.26
CSX B -0.59 0.26
MU D 0.15 0.25
Z A 1.53 0.25
EMR A 0.05 0.24
EXC C -0.40 0.24
MRK F -0.40 0.24
NSC B -0.70 0.23
PGR B -0.71 0.23
ADI D -0.62 0.23
COP B -0.23 0.23
XEL A -0.59 0.23
NVR D 0.25 0.22
GRMN B -0.41 0.22
INTC C -2.35 0.22
AMGN F 0.83 0.22
CPRT A 0.40 0.21
LRCX F -1.15 0.21
ORLY B -1.28 0.21
COIN A -0.72 0.20
DE C -0.97 0.20
RSG B 0.33 0.20
USB A -0.51 0.20
ETR A 0.52 0.20
EIX C 1.25 0.20
WCN A 0.15 0.20
DHR F 0.32 0.20
PNC A -0.41 0.20
EME B 1.51 0.19
PHM D 0.14 0.19
APH B 0.92 0.19
SYF B -0.52 0.18
WELL A 0.48 0.18
KLAC F -1.11 0.18
PANW B -0.23 0.18
MRVL B -0.30 0.17
VRTX C -1.70 0.17
ODFL B -0.71 0.17
PH B -0.02 0.17
VST A 2.00 0.17
PLTR A 1.05 0.17
AMP A -0.52 0.17
WSO A -0.03 0.16
GILD B -0.56 0.16
MMC C -1.29 0.16
CB C -1.40 0.16
FE C -0.70 0.15
CSL C -0.31 0.15
AZO A -1.70 0.15
MSCI A 1.00 0.15
BLDR D -0.36 0.15
TFC A -0.04 0.15
ITW B -0.97 0.15
EOG A -0.21 0.14
LII A 0.44 0.14
ROST D -1.61 0.14
PFE F 0.58 0.14
AME A -0.37 0.14
VRT A 10.24 0.14
ES C -0.61 0.13
NDAQ A 0.29 0.12
REGN F -2.04 0.12
CDNS B 0.68 0.12
BMY B 1.88 0.12
NXPI F -0.64 0.12
NRG B 0.75 0.12
SNPS C 1.00 0.12
MAS D -0.42 0.12
WMB A 1.28 0.12
SW A -1.00 0.12
AMT D 0.95 0.11
ARES B 1.05 0.11
VLTO D 1.03 0.11
NEM F 1.35 0.11
RJF A -0.44 0.11
BK A -0.46 0.11
PAYX B -0.49 0.11
OKE A 0.04 0.11
AON A -0.50 0.11
CRWD B 1.67 0.11
FCX F 0.15 0.11
ACM B 0.34 0.11
OC A -0.07 0.11
PCAR B -1.02 0.11
KMI A 1.06 0.10
ADSK B 0.90 0.10
PSX C 0.75 0.10
MPC C 0.60 0.10
PKG B 0.07 0.10
ROK B -1.46 0.10
EQIX A 1.47 0.10
LNT A 0.23 0.10
EVRG A -0.30 0.10
LNG A 1.29 0.09
IP A -0.07 0.09
ALLE D -0.20 0.09
GLW B 1.39 0.09
TSCO D -0.24 0.09
GM B -1.19 0.09
MTB A -0.40 0.09
AFL C -0.75 0.09
FTNT B -0.36 0.09
TRV A -1.20 0.09
ROP C 0.00 0.09
VRSK B 0.57 0.09
AJG A -0.84 0.09
CMI A 0.07 0.09
SLB C -1.37 0.09
ZTS D -0.31 0.08
MET A -0.71 0.08
OTIS C -0.10 0.08
MCHP F -2.02 0.08
TGT C 1.05 0.08
AIG A -1.04 0.08
HUBB B 1.64 0.08
IR B -0.11 0.08
ALL A -0.42 0.08
VLO C 0.26 0.08
EFX F -1.13 0.08
FITB A -0.67 0.08
MSTR A 8.12 0.08
NTRS A -1.06 0.08
GE D -0.30 0.08
FICO A 0.70 0.08
APP A 5.78 0.08
BALL D -0.67 0.08
WDAY C -0.62 0.08
PSA C 0.12 0.07
RTX D 0.05 0.07
FBIN F -0.11 0.07
RF A -0.40 0.07
BKR A -0.55 0.07
HBAN A -1.43 0.07
DELL B -1.25 0.07
BR A -0.87 0.07
FDS A -0.30 0.07
WAB B -0.05 0.07
MELI D -0.66 0.07
HES B -0.42 0.07
PRU A -2.22 0.07
DLR A 1.39 0.07
TRGP A 1.42 0.07
LPLA A -0.24 0.07
ACN C 0.00 0.07
AMCR D -1.86 0.07
AVY D 0.24 0.07
DOV B -0.96 0.06
BAH D -0.99 0.06
ACGL D -0.88 0.06
CDW F -1.88 0.06
XYL D -0.44 0.06
VTR C 0.55 0.06
BRK.A A -0.68 0.06
TEAM B 2.62 0.06
FANG C -0.92 0.06
OXY D -0.91 0.06
JBHT C -1.05 0.06
ON F 0.09 0.06
LDOS C -0.76 0.06
KEYS C 0.35 0.06
F C -0.67 0.06
AOS F -0.26 0.06
ROL A -0.45 0.06
HPQ A -0.76 0.06
MPWR F -0.87 0.06
IBM D 0.63 0.06
TDY B 0.73 0.05
ALNY D 0.23 0.05
KR B 0.39 0.05
PPL A -0.18 0.05
BURL A -0.41 0.05
HUBS B 0.39 0.05
WSM D 2.88 0.05
ATO A -0.53 0.05
WTW B -0.83 0.05
ANSS B 1.01 0.05
TRU D 0.10 0.05
TPL A 0.61 0.05
HPE B 0.16 0.05
TROW A -0.83 0.05
LMT D 0.48 0.05
A F -0.24 0.05
HOOD A 2.80 0.05
FTV D -0.16 0.05
IQV F 1.21 0.05
DDOG B 3.35 0.05
CCK D 0.12 0.05
FCNCA A 0.96 0.05
VICI C 0.96 0.05
HIG A -1.13 0.05
PINS F 1.60 0.05
BBY D -1.88 0.05
ULTA F -1.62 0.05
KEY A -0.96 0.05
CCI C 0.29 0.05
TW A 2.58 0.05
STT A -0.71 0.05
CFG A -1.27 0.05
KMX B -2.98 0.04
STX D 0.15 0.04
PNR A -0.73 0.04
ZM B -1.41 0.04
KNX B -0.37 0.04
SNA A -1.11 0.04
SNAP D -0.28 0.04
PTC B -0.36 0.04
MTD F -0.69 0.04
ARE F -0.40 0.04
WDC F 1.11 0.04
FSLR D -3.00 0.04
CBOE C 0.59 0.04
MKL A -1.69 0.04
CINF A -1.41 0.04
HAL C -0.15 0.04
TRMB B 0.03 0.04
BRO B -0.21 0.04
TYL B 0.30 0.04
PFG A -2.03 0.04
EQT A -0.11 0.04
MA A -0.29 0.04
DVN F -1.66 0.04
IRM D 0.59 0.04
EXR C 0.67 0.04
BA F 0.37 0.04
CG B 0.35 0.04
NTAP D 1.00 0.04
J D -4.52 0.04
SYY B -1.06 0.04
V A -0.33 0.04
ZBRA B -0.94 0.04
MRO A -0.33 0.03
BEN C -0.30 0.03
GEN B -0.17 0.03
ZS B -0.23 0.03
EG D -0.81 0.03
SWK F -0.31 0.03
MANH D -1.19 0.03
DT C -1.72 0.03
CTRA A 0.82 0.03
PSTG F -0.17 0.03
PAYC B -0.13 0.03
SBAC C 0.17 0.03
WRB A -0.77 0.03
L A -0.57 0.03
SWKS F -0.63 0.03
WAT B -2.07 0.03
NDSN C -0.51 0.03
DAY B 0.28 0.03
WY D -1.13 0.03
DOC D 2.51 0.03
WST C 0.59 0.03
GGG A -0.60 0.03
UPS C -1.28 0.03
ILMN C 2.24 0.03
GD D -1.00 0.03
NOC D 0.87 0.03
DAL A 1.39 0.03
TDG D -0.06 0.03
BIIB F -1.02 0.03
ENTG F -0.89 0.03
AES F 0.25 0.03
IEX B -0.69 0.03
DKS D -0.10 0.03
MKTX D -0.20 0.03
SSNC C -0.58 0.03
JBL C -0.70 0.03
TER F -1.47 0.03
BSY D 0.02 0.02
CRL D -0.07 0.02
TECH F 0.22 0.02
CTSH B -0.12 0.02
LIN D -1.14 0.02
IT B -0.56 0.02
BMRN F -0.10 0.02
NBIX D 0.82 0.02
SEIC A -1.08 0.02
INCY B -13.47 0.02
TTC D -0.29 0.02
AIZ A -0.96 0.02
ERIE F -1.13 0.02
MRNA F -2.81 0.02
AXON A 2.06 0.02
HWM A 1.63 0.02
ENPH F -2.38 0.02
IOT B 1.56 0.02
CNH C 0.59 0.02
AFG A -1.77 0.02
ALLY C -0.14 0.02
BBWI C -3.47 0.02
AVTR F -0.57 0.02
RVTY D 0.44 0.02
UHAL D -0.55 0.02
SMCI F 32.66 0.02
OVV C -0.58 0.02
UTHR C 0.62 0.02
MTCH F -0.48 0.02
LHX B 0.05 0.02
FDX A -0.15 0.02
GLPI C 1.03 0.02
DOCU B 1.29 0.02
EBAY D -0.28 0.02
WBA F -1.21 0.01
APD A -0.79 0.01
RS B -0.73 0.01
FIS A -2.05 0.01
SUI D 0.91 0.01
ACI C 2.12 0.01
MDB C -0.17 0.01
SHW C -0.84 0.01
STLD B -0.49 0.01
ESS A -0.06 0.01
TXT D -1.52 0.01
HEI A 1.15 0.01
MAA A -0.45 0.01
INVH D -0.47 0.01
VRSN F -0.15 0.01
RPRX F 0.43 0.01
PYPL A -1.51 0.01
VTRS A -0.39 0.01
EPAM B -1.88 0.01
TWLO A -1.69 0.01
NET B 2.16 0.01
APO A 2.19 0.01
CTLT D 0.25 0.01
DLTR F -1.04 0.01
APA F -1.49 0.01
BIO D -0.04 0.01
EQR C -0.26 0.01
UNH B -1.48 0.01
LUV A -0.08 0.01
RIVN F 0.15 0.01
EXAS F 5.79 0.01
NUE D -1.43 0.01
SNOW C 0.75 0.01
AVB B -0.10 0.01
FI A 1.81 0.01
GDDY A 1.07 0.01
DG F 0.23 0.01
DINO D 0.39 0.01
QRVO F -0.42 0.01
CHRD D -1.05 0.01
HII F -1.82 0.00
FNF C -0.07 0.00
HEI A 1.15 0.00
EXPD D -1.71 0.00
CPT D 0.30 0.00

Recent News for BlackRock U.S. Industry Rotation ETF & its Holdings

Date Stock Title
Nov 19 DKS Academy Sports more vulnerable to tariffs than rival DICK'S Sporting Goods
Nov 19 JBHT J.B. Hunt CEO talks need for industry collaboration
Nov 19 PGR Progressive Insurance® Introduces Accident Response® to Customers Nationwide
Nov 19 NVDA NVIDIA Corporation (NVDA): Market Experts Downplay Tariff Impact, Highlight Strong US Customer Base for AI Growth
Nov 19 NVDA AI Giant Nvidia Braces for Potential $292 Billion Market Shock Post-Earnings
Nov 19 BX Unpacking the Latest Options Trading Trends in Blackstone
Nov 19 NVDA Boeing Begins Layoffs For 10% Workforce Cut; Shares Climb As Dow Slides
Nov 19 SMCI Why Super Micro Computer Stock Jumped Today
Nov 19 ACM AECOM (ACM) Q4 2024 Earnings Call Transcript
Nov 19 NVDA Will Nvidia stock surge or slump in the next few months?
Nov 19 NVDA Nvidia rivals focus on building a different kind of chip to power AI products
Nov 19 UBER Unpacking the Latest Options Trading Trends in Uber Technologies
Nov 19 EQIX Equinix, Inc. (EQIX): Barclays Raises Price Target to $822 Amid AI Infrastructure Growth
Nov 19 PAYX Analyst Expectations For Paychex's Future
Nov 19 NVDA NVIDIA Teams With Google Quantum AI to Enhance Processor Design Using Simulations
Nov 19 DVN Devon Energy Presents A Conundrum
Nov 19 NXPI NXP Semiconductors N.V. (NXPI): Oppenheimer Downgrades Stock Amid Cautious Semiconductor Sector Outlook
Nov 19 NVDA Pullback from election rally is 'very healthy': Strategist
Nov 19 KR Kroger Extends Exchange Offers, Consent Solicitations for Albertsons Notes
Nov 19 NVDA Dow Jones Tumbles 350 Points As Ukraine Fires Missiles On Russia; Super Micro Soars On Nasdaq Plan (Live Coverage)
INRO is targeted US equity exposure, actively managed by shifting the selection and weighting of the portfolio towards industries among the broad domestic market. Portfolio allocation is based on five potential sources of return: information regarding the current economic cycle, valuation, quality metrics, analyst expectation data and recent individual industry trends. The strategy aims to capture the potential alpha from the dispersion between industry allocations and the broad market. During temporary defensive periods, the fund may depart from this principal investment strategy to invest 100% of the portfolio in liquid, short-term securities. The fund may engage in active and frequent trading. Derivatives may also be used to seek returns or hedge exposure. Up to one-third of the value of the funds assets may be lending.
Investment Strategy Portfolio Optimization
Back to the Main INRO Page...