ETF Components for USXF - iShares ESG Advanced MSCI USA 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 A -2.74 17.23
AVGO C -2.69 3.68
V A 0.70 2.30
MA B 0.32 2.07
HD B 0.11 1.89
AMD F -2.48 1.10
ADBE C -5.35 1.10
LIN D -1.20 1.03
NOW A -2.73 1.01
TXN B -0.73 0.92
INTU A -2.08 0.92
QCOM F -1.23 0.86
CMCSA B -1.56 0.81
BKNG A -0.23 0.80
VZ D 0.97 0.80
AXP B 0.14 0.78
AMGN F -4.90 0.76
SPGI C -1.25 0.76
MS A 0.84 0.76
DHR F -3.63 0.75
PGR A -1.43 0.73
BLK A 0.13 0.73
LOW B -0.31 0.73
AMAT F -8.51 0.73
ETN B -0.68 0.70
TJX A 0.15 0.64
SYK A 2.15 0.63
PANW B -1.37 0.61
VRTX B -4.45 0.60
FI A -0.37 0.59
ADP A -1.03 0.59
SCHW B 0.86 0.56
MU D -2.79 0.55
CB C 0.46 0.52
MMC D 0.09 0.52
ADI D -2.21 0.51
ANET C -2.84 0.50
INTC C -2.54 0.49
DE D 0.51 0.49
PLD D -1.73 0.49
LRCX F -4.66 0.47
ELV F -1.52 0.45
SHW A -0.76 0.44
TT B -0.88 0.44
WM A -1.23 0.43
MELI D -0.44 0.43
AMT F 0.76 0.43
GEV B 3.66 0.42
REGN F -3.08 0.42
ICE C -0.13 0.42
KLAC F -3.67 0.42
PH A 0.44 0.42
EQIX B 0.49 0.41
PYPL A -0.24 0.41
APH B -1.53 0.41
PNC B 0.21 0.40
SNPS C -3.74 0.40
CME B 0.78 0.39
CTAS B -0.28 0.39
MRVL B -1.98 0.38
ITW B 0.33 0.38
WELL B 1.11 0.38
CDNS B -3.93 0.38
MCO C -1.54 0.37
ZTS D -0.40 0.37
USB B -0.40 0.37
CRWD B -2.41 0.37
AON B 1.19 0.35
COF B 1.10 0.34
TGT C 0.07 0.34
ORLY A -0.48 0.34
HCA D -1.75 0.33
CRH B -1.96 0.33
APD B 0.23 0.33
ADSK B -2.96 0.32
APO B -0.85 0.31
TFC B 0.45 0.30
HLT A -0.49 0.30
AJG A -0.13 0.30
FTNT B -1.26 0.30
ROP A -2.44 0.29
PCAR B -1.93 0.29
DLR C 0.75 0.28
TRV B 1.15 0.28
AFL C 1.16 0.28
WDAY B -3.92 0.27
NXPI F -0.96 0.27
BK B 0.94 0.27
URI B -0.89 0.27
FICO B -2.05 0.27
RCL A 0.10 0.27
SPG A 0.69 0.27
AZO B -0.64 0.26
AMP A 0.21 0.26
MSTR B 3.98 0.26
PSA D 1.15 0.25
GWW B -0.04 0.25
DASH A -1.63 0.25
DHI D -0.60 0.23
FAST B -0.40 0.23
PWR B -0.03 0.23
NEM F 1.22 0.23
PAYX B -1.51 0.23
CMI A -0.04 0.23
WCN A 0.00 0.23
FIS B -0.70 0.23
CPRT A -0.56 0.23
AIG B -0.30 0.23
TEL B -2.06 0.22
ROST D -0.86 0.22
RSG B -0.91 0.22
VRT B 0.68 0.21
HWM B -0.98 0.21
CCI F 1.04 0.21
ODFL B -2.69 0.21
DFS B 1.53 0.21
AME A -0.10 0.21
PRU B 0.76 0.21
KVUE A 1.46 0.21
FERG B -3.33 0.20
IR A -0.60 0.20
AXON B -1.16 0.20
IT B -2.11 0.20
TEAM B -3.29 0.19
GLW B -0.09 0.19
EW F 1.57 0.19
OTIS D -0.32 0.19
CTSH A -3.86 0.19
EA A -1.12 0.19
CBRE B -0.70 0.19
VRSK A -1.29 0.19
MLM B -0.66 0.18
SNOW C -3.65 0.18
YUM B -0.60 0.18
ACGL C 0.88 0.18
VMC B -1.12 0.18
KDP C -3.83 0.18
IQV F -5.29 0.18
A F -2.93 0.18
IDXX F -2.61 0.17
WAB B -0.61 0.17
MTB A 0.26 0.17
GIS F -3.23 0.17
MCHP F -2.42 0.17
RMD C 0.56 0.17
VEEV B -5.59 0.17
LULU B -2.20 0.17
GEHC D -0.63 0.17
CHTR B -1.20 0.17
AVB B 0.51 0.16
GRMN A -0.78 0.16
IRM D 1.12 0.16
HUM D -2.75 0.16
HUBS B -2.74 0.16
ALNY D -5.42 0.16
NDAQ B 0.89 0.16
DDOG B -4.31 0.16
HIG C 0.91 0.16
CSGP F -4.93 0.15
EBAY C -0.96 0.15
MPWR F -0.73 0.15
ROK B -0.06 0.15
RJF A -0.05 0.15
WTW A -0.72 0.15
DXCM C 1.87 0.14
GPN B -0.07 0.14
ANSS B -1.98 0.14
TSCO D -0.22 0.14
ON F -2.64 0.14
XYL F 0.16 0.14
BR A -0.03 0.13
PHM D 0.21 0.13
MTD F -3.20 0.13
DECK B -0.15 0.13
NVR D -1.54 0.13
BRO B 0.31 0.13
NET B -3.55 0.13
DOV A 0.26 0.13
KEYS C -2.13 0.13
HPE B -0.91 0.13
STT B 0.74 0.13
PPG F -0.51 0.13
BIIB F -2.39 0.12
NTAP D -0.56 0.12
EQR C -0.16 0.12
HBAN A 0.20 0.12
VLTO D -0.41 0.12
SYF B 0.46 0.12
AWK D 0.23 0.12
CDW F -1.20 0.12
VTR C 0.19 0.12
TYL B -1.95 0.12
TROW A -0.26 0.12
SW B 1.65 0.12
GDDY B -0.80 0.12
CHD A 1.33 0.12
FTV C -0.91 0.12
ZBH C 0.99 0.11
WAT B -3.54 0.11
IFF F -1.54 0.11
PTC B -0.52 0.11
BAH C -2.77 0.11
SBAC D 1.03 0.11
ILMN C -4.76 0.11
LPLA A -0.17 0.11
WST B -3.71 0.11
RF A 0.10 0.11
EME B 0.92 0.11
HUBB C 0.80 0.11
OMC A -6.74 0.10
PFG C 0.36 0.10
CLX A 1.13 0.10
INVH D 0.51 0.10
ZBRA B -1.92 0.10
LYV A 0.26 0.10
WDC D -0.72 0.10
CBOE D 0.53 0.10
MDB C -4.18 0.10
PKG B -0.11 0.10
WBD B -4.82 0.10
STLD C 1.55 0.10
CSL B -0.06 0.10
BLDR C -2.40 0.10
NTRS A 1.02 0.10
STE D -0.10 0.10
K A 0.04 0.10
DGX B 2.69 0.09
ULTA C -2.35 0.09
KEY B -0.50 0.09
RS C 0.59 0.09
FSLR F 0.22 0.09
FDS A -2.75 0.09
WSO B -0.95 0.09
BBY C 1.31 0.09
HOLX D 0.85 0.09
MOH F -3.46 0.09
IP B 0.28 0.09
BALL D -1.17 0.09
ZS B -3.48 0.09
SNA A 0.37 0.09
PODD B -0.06 0.09
MKC D -2.90 0.09
LII B -1.17 0.09
DRI B -0.87 0.09
TRU D -2.61 0.09
STX D -0.57 0.09
EG D 0.73 0.08
ENTG F -3.43 0.08
AVY F -1.10 0.08
VRSN C -1.40 0.08
DG F -1.65 0.08
OC A -0.06 0.08
KIM A 0.38 0.08
WSM F -0.01 0.08
EXPD C 0.02 0.08
DOCU B -2.65 0.08
UTHR B -5.48 0.08
FWONK A -1.43 0.08
TER F -2.44 0.08
ARE F -2.85 0.08
GPC D -0.31 0.08
GEN B -1.13 0.08
PNR A 0.07 0.08
IEX B 0.27 0.08
MAS D -0.69 0.08
RPM A -0.40 0.08
MANH C -1.74 0.08
TRMB B -0.51 0.08
AKAM F -1.32 0.07
SWKS F 1.10 0.07
NDSN B -0.56 0.07
MRNA F -7.32 0.07
FFIV B -1.21 0.07
TOST A 1.53 0.07
EPAM B -3.95 0.07
EL F -1.18 0.07
AVTR F -1.23 0.07
RVTY C -3.91 0.07
ROL C -0.62 0.07
JBL C -1.26 0.07
DT C -2.65 0.07
ACM B -0.32 0.07
DPZ C 1.82 0.07
DOC C -1.60 0.07
CF B 2.94 0.07
PSTG D -3.02 0.07
ALGN D 3.11 0.07
TWLO B 0.11 0.07
JBHT C -0.62 0.07
PAYC B -1.14 0.06
TECH D -5.09 0.06
BXP D -1.41 0.06
KMX B -0.49 0.06
SJM F -2.41 0.06
WPC F 0.00 0.06
AMH C 0.16 0.06
CG B -1.32 0.06
ALLE D -0.98 0.06
JNPR D -1.51 0.06
DAY B -2.44 0.06
BMRN F -2.48 0.06
OKTA C -3.52 0.06
HST D -0.40 0.06
CHRW A -0.57 0.06
NBIX C -2.62 0.06
JKHY C -0.25 0.06
REG A 0.08 0.06
INCY B -1.50 0.06
CAG F -3.57 0.06
SWK F 0.01 0.06
POOL D 1.91 0.06
FBIN F -0.60 0.05
NLY C 0.33 0.05
RPRX F 0.99 0.05
ALLY C -0.11 0.05
LKQ C -0.78 0.05
MKTX C -0.37 0.05
SOLV C 0.52 0.05
CTLT D 0.56 0.05
IOT B -2.40 0.05
AIZ A 0.72 0.05
IPG F -3.29 0.05
CRL C -3.84 0.05
CCK D -0.04 0.05
LW B -2.67 0.05
BSY F -1.73 0.04
ENPH F -1.43 0.04
DVA C 3.78 0.04
MOS D 0.84 0.04
CPB F -3.15 0.04
HSIC F 1.01 0.04
TTC F -0.72 0.04
AOS F -0.73 0.04
CNH D 1.36 0.04
HRL F -3.26 0.04
KNX C -0.09 0.04
TFX F 0.72 0.04
EXAS F -1.50 0.04
BEN C -0.32 0.03
UHAL D -1.36 0.03
QRVO F 0.05 0.03
WBA D -2.64 0.03
BBWI C -0.99 0.03
H B -2.33 0.03
AZPN A 0.24 0.03
BIO C -2.02 0.03
WLK F 0.22 0.02

Recent News for iShares ESG Advanced MSCI USA ETF & its Holdings

Date Stock Title
Nov 15 JNPR Juniper Networks fall amid speculation on DOJ review of HPE deal
Nov 15 MRNA Trump looks to end EV credit, vaccine stocks fall on RFK JR. pick
Nov 15 TJX Retail Sales Solid After Powell Caution On Fed Rate Cuts; S&P 500 Falls
Nov 15 RF Top US Dividend Stocks To Consider In November 2024
Nov 15 TJX Nvidia Stock Shows No Quit Ahead Of Fiscal Q3 Results; Walmart Leads Parade Of Retail Reports
Nov 15 HD The Home Depot (HD) Surged Despite Tepid Earnings. Here’s Why
Nov 15 MSTR MicroStrategy remains most squeezable crypto stock at the end of October
Nov 15 DPZ Buffett’s Berkshire bets on Domino’s and Pool Corp.
Nov 15 POOL Buffett’s Berkshire bets on Domino’s and Pool Corp.
Nov 15 MRNA Analysts think Wall Street's reaction to the RFK Jr. news is 'overdone.' Sort of.
Nov 15 DHR DiamondRock Hospitality acquires the AC Hotel Minneapolis Downtown
Nov 15 AXON Axon Set to Deliver Its Body 4 Cameras & Axon Evidence to RCMP
Nov 15 MRNA Heard on the Street: RFK Jr. Is Spooking Obesity Investors Too
Nov 15 DPZ Domino's Stock Rallies After Berkshire Hathaway Takes Slice
Nov 15 LRCX Why Lam Research (LRCX) is a Top Stock for the Long-Term
Nov 15 WDAY Workday Gains 17% in the Past Year: Reason to Buy WDAY Stock?
Nov 15 HD Jim Cramer on Home Depot (HD): Bond Market Impact and Buying Opportunities
Nov 15 NOW Jim Cramer on How ServiceNow Inc (NOW)’s AI Partnerships Are Driving Its Soaring Growth
Nov 15 TECH Intuitive Machines Rockets 333% This Year: Is LUNR Ready For Its Next Moonshot?
Nov 15 INTC Intel Corporation (INTC): An AI Stock Grabbing Investor Attention
The investment seeks to track the investment results of the MSCI USA Choice ESG Screened Index (the “underlying index”). The underlying index is a free float-adjusted market capitalization-weighted index designed to reflect the equity performance of large- and mid-capitalization U.S. companies with favorable environmental, social and governance (“ESG”) ratings while applying extensive screens, including removing fossil fuel exposure. The fund generally will invest at least 90% of its assets in the component securities of the underlying index. It is non-diversified.
Exchange Traded Fund ETF Stock Market Index Capitalization Weighted Index Environmental Sustainability Ethical Investment Environmentalism Social And Corporate Governance ESG Sustainable Investing Fossil Fuel Msci Kld 400 Social Index
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