ETF Components for XJH - iShares ESG Screened S&P Mid-Cap 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
EME B 0.40 0.88
ILMN C -3.19 0.85
CSL C -1.39 0.78
LII A 1.65 0.75
IBKR A 1.33 0.73
WSO A 1.23 0.69
RPM A 1.15 0.66
MANH D -0.36 0.65
UTHR C -1.11 0.65
XPO B -0.91 0.65
OC A 0.68 0.64
BURL A 1.06 0.64
RS B -0.04 0.64
WSM D 2.48 0.63
DT C 0.13 0.61
USFD B 1.08 0.61
TOL B -0.17 0.60
THC C -1.22 0.59
FIX A 1.34 0.59
FNF C 0.49 0.59
COHR C 0.25 0.58
PSTG F 2.76 0.58
GGG A 0.61 0.57
CASY B 0.80 0.57
RGA A -0.11 0.57
SFM B -0.41 0.54
EWBC A 0.48 0.54
ACM B 2.06 0.54
AVTR F -2.70 0.54
SAIA C -0.80 0.54
CW B -1.46 0.52
RNR D 0.51 0.51
TXRH B -1.12 0.50
GLPI C 0.49 0.50
ELS B 0.14 0.50
CLH C -1.54 0.48
ITT A 0.57 0.47
NBIX D 0.15 0.47
JLL C 0.41 0.47
BMRN F -2.35 0.47
DUOL B -0.13 0.46
SCI A 2.43 0.46
NVT C 0.78 0.46
AMH C -0.43 0.45
EQH B -0.67 0.45
UNM A -0.83 0.45
SF A -0.11 0.45
JEF A -0.03 0.45
WPC D 0.82 0.45
ATR B 0.12 0.44
BJ B -0.53 0.44
LECO C 0.47 0.44
RRX B 1.63 0.43
LAMR D 0.97 0.42
CUBE C 0.60 0.41
FHN A -0.39 0.41
BLD F 1.10 0.41
TTEK F -0.36 0.41
FND F -0.43 0.41
KNSL B -0.54 0.40
GME C -0.56 0.40
AA A -0.09 0.40
EVR B -0.67 0.40
CCK D -0.53 0.40
EHC B 0.38 0.39
ARMK C -0.29 0.39
AFG A 1.32 0.39
WBS A 0.77 0.39
OHI C -1.30 0.39
EXP B -0.36 0.39
WWD B 0.22 0.39
CHDN C -0.04 0.39
AIT A 0.20 0.39
SRPT F 0.12 0.39
LAD A 0.63 0.38
EXEL B 0.20 0.38
PRI A 0.76 0.38
CIEN B -0.95 0.38
AYI B -0.74 0.38
WING F 3.14 0.37
INGR B -1.42 0.37
HLI B 0.03 0.37
NLY C 0.15 0.37
MUSA A -1.55 0.37
ALLY C -1.41 0.37
PNFP A 0.06 0.36
TPX A 0.20 0.36
WTRG B 0.54 0.36
DTM A 1.17 0.36
GMED A 0.90 0.35
WMS F 1.38 0.35
RGLD A 4.31 0.35
DCI B -0.45 0.35
WCC B -0.43 0.35
FBIN F 0.47 0.35
BRBR A 1.82 0.35
PCTY B -1.12 0.34
AXTA A -0.97 0.34
AAON B -1.59 0.34
CFR B -0.57 0.34
KNX B 1.02 0.34
PEN B 1.11 0.34
REXR F 1.64 0.34
BRX A 1.46 0.33
WTFC A 0.37 0.33
SNX C 0.87 0.33
ZION A -0.54 0.33
NYT D 0.11 0.33
ORI A 0.37 0.33
CBSH A 0.75 0.32
CHE D -0.55 0.32
CR B -1.32 0.32
MTZ B 2.34 0.32
GPK D 0.39 0.32
TTC D 1.06 0.32
MEDP D -0.55 0.32
CNM C 3.55 0.31
SSB B -0.46 0.31
ONTO F 1.97 0.31
PLNT A 1.85 0.31
X C 6.08 0.31
SKX F 0.12 0.31
LNW F -0.47 0.31
HRB D 0.45 0.31
EGP D 0.42 0.31
HQY A 3.46 0.31
PB A -0.11 0.30
VOYA A -0.14 0.30
SEIC A 0.44 0.30
SNV B 0.36 0.30
UFPI C 0.00 0.30
BERY C 0.37 0.29
ADC A 1.03 0.29
MKSI C 2.48 0.29
WH B -1.35 0.29
JAZZ B -3.34 0.29
NNN C 1.64 0.29
FYBR C 0.20 0.29
TREX C -0.79 0.29
SSD D -0.79 0.29
FLS A 0.56 0.29
RLI A 0.31 0.28
MIDD C 0.90 0.28
TMHC B -1.16 0.28
EXLS B -0.76 0.28
MTSI B 0.19 0.28
OLED F 0.79 0.28
ANF C -0.84 0.28
G A -0.22 0.28
RGEN F -1.06 0.28
WEX F -0.60 0.28
CVLT B -1.43 0.28
KEX A -0.33 0.28
LPX A 2.96 0.27
MASI B -0.15 0.27
H B -0.14 0.27
GTLS A 0.39 0.27
GXO B 0.17 0.27
ALV C 0.15 0.27
COKE D -0.12 0.27
R B -0.41 0.27
ESAB B -1.41 0.27
RYAN B -0.37 0.27
OSK B 0.58 0.27
MSA D -1.53 0.26
HALO D -6.75 0.26
CMC B 0.49 0.26
VMI B 0.66 0.26
DINO D 2.04 0.26
VNO C -0.76 0.26
FCN F 0.43 0.26
FR D 0.40 0.26
CGNX D -2.55 0.26
ELF C 1.10 0.26
ONB B -0.05 0.26
LSCC D 1.87 0.26
GNTX D -1.79 0.26
DOCS B 5.69 0.25
COLB B -1.07 0.25
DAR B -1.30 0.25
KD A 0.50 0.25
AZPN A -0.32 0.25
DBX C -2.51 0.25
STAG D 0.33 0.25
LSTR D 0.16 0.25
FAF C 0.63 0.25
MTN C 0.09 0.25
WHR A -0.87 0.24
HR C -0.34 0.24
NOV D 0.19 0.24
GBCI A 0.44 0.24
MTG C -0.48 0.24
CYTK D 3.42 0.24
CBT C 0.01 0.23
VNT C -1.21 0.23
BRKR F -3.68 0.23
SIGI B -0.87 0.23
NOVT D -1.44 0.23
ARW D -0.24 0.23
WFRD F 1.83 0.23
LFUS D -0.72 0.23
ALTR B 0.12 0.23
STWD C 0.46 0.23
UBSI A -0.57 0.22
HOMB A -0.71 0.22
AGCO D 0.69 0.22
RMBS C 2.49 0.22
LITE B -1.12 0.22
JHG A -0.22 0.22
WTS A 0.07 0.22
PVH C -1.23 0.22
THO B 0.62 0.22
THG A 0.56 0.22
KRG B 0.94 0.22
CHX C 0.75 0.22
ESNT D 0.90 0.22
CROX F -1.30 0.22
FNB A -0.36 0.22
CRUS F 0.39 0.21
CADE B -0.48 0.21
UMBF B -0.20 0.21
QLYS C -1.14 0.21
CLF F 1.72 0.21
VVV B 0.02 0.21
AMG A -0.69 0.21
LNTH F -0.79 0.21
ALTM C -0.38 0.21
OLLI D -1.84 0.21
KBH D -1.59 0.21
SLM A -1.10 0.20
FFIN A -0.22 0.20
KNF B 1.29 0.20
BC D -0.37 0.20
APPF C -0.30 0.20
GATX A 0.53 0.20
LEA F -0.22 0.20
BDC B -0.24 0.19
GAP C -0.74 0.19
HXL F -0.55 0.19
ST F -0.88 0.19
SON D -0.34 0.19
UGI C 1.33 0.19
EXPO D -1.43 0.19
BYD B -0.66 0.19
NXST D 0.21 0.19
ROIV D -0.36 0.19
AM A 1.51 0.19
OZK A -0.54 0.19
HWC B -1.68 0.19
POST D 2.25 0.19
HAE B -1.18 0.18
CUZ B 0.52 0.18
AVT C -0.38 0.18
AVNT B 0.18 0.18
IRT A 1.24 0.18
NJR A 0.92 0.18
WMG B 1.28 0.18
VLY A 0.39 0.18
LOPE B 1.37 0.18
TKR F -1.06 0.18
RH C 1.00 0.18
FIVE F -0.43 0.18
MMS D 0.06 0.18
AN D -0.32 0.17
EEFT C -0.26 0.17
DLB D -0.53 0.17
SLGN A 1.21 0.17
SWX A 1.23 0.17
TCBI A -1.18 0.16
ASGN F -2.45 0.16
BCO F -0.14 0.16
KRC C -0.88 0.16
NEU D -2.10 0.16
CELH F 0.51 0.16
OGS A 1.56 0.16
WLK F 0.30 0.16
SBRA C -0.39 0.16
KMPR A -1.00 0.16
ORA B 0.49 0.16
FLO D 1.72 0.16
M D -1.48 0.16
IBOC A -0.10 0.15
MSM D -0.79 0.15
HOG D 0.21 0.15
ENS D 0.00 0.15
RYN D 0.57 0.15
ASB B -0.23 0.15
CNO A 0.00 0.15
XRAY F 0.98 0.14
ACHC F -1.82 0.14
TNL A -0.50 0.14
OPCH F -0.87 0.14
ASH F 0.09 0.14
SR A 1.76 0.14
FHI A -0.05 0.13
EPR D 0.36 0.13
VAL F -0.43 0.13
BLKB C 1.65 0.13
CDP C -0.23 0.13
SLAB F 0.24 0.13
NVST C 0.19 0.13
TEX D 0.56 0.13
IRDM D 0.99 0.13
PII F -0.18 0.13
POWI D 0.92 0.13
LANC D -0.39 0.13
ZI D -5.08 0.12
PK D -1.45 0.12
PAG B 0.16 0.12
ALGM F 0.89 0.12
PBF D 2.38 0.12
BHF B 0.18 0.12
WEN C -0.39 0.12
SMG D 0.58 0.12
GHC B -0.13 0.12
FLG D 2.16 0.12
CHH A -0.17 0.12
YETI F -1.05 0.12
COLM B -1.41 0.11
COTY F -1.81 0.11
LIVN C 0.83 0.11
SAM C -2.35 0.11
TDC F 0.83 0.11
NEOG D 4.11 0.11
AMKR F 0.79 0.11
AMED F -0.67 0.11
NSA C 0.53 0.11
SYNA D -1.06 0.11
VAC C -1.15 0.11
PCH D 0.29 0.11
MAN F 0.86 0.11
WU F 0.18 0.10
ENOV C -1.81 0.10
VC F -1.82 0.10
ARWR D 2.42 0.10
GT C 0.54 0.10
NSP F 0.25 0.10
CXT D 0.97 0.10
HGV C -0.98 0.10
CPRI F -1.90 0.09
PPC B 0.70 0.08
IPGP D -0.63 0.08
AZTA F -2.75 0.08
JWN C -2.49 0.08
RCM A 0.07 0.08
GEF B -1.03 0.07
CAR C 0.69 0.07
VSH F -0.91 0.07
UAA B -1.41 0.07
CNXC F -1.36 0.07
CRI F -0.97 0.07
UA B -1.56 0.05
MAGN F -0.43 0.01

Recent News for iShares ESG Screened S&P Mid-Cap ETF & its Holdings

Date Stock Title
Nov 19 ACM Walmart, Lowe's And 3 Stocks To Watch Heading Into Tuesday
Nov 19 ACM Aecom Gears Up For Q4 Print; Here Are The Recent Forecast Changes From Wall Street's Most Accurate Analysts
Nov 18 X US Raises Import Tariff for Nippon Steel After Review
Nov 18 BRBR BellRing Brands (BRBR) Q4 Earnings and Revenues Beat Estimates
Nov 18 MTN Trip.com (TCOM) Q3 Earnings and Revenues Top Estimates
Nov 18 GME GameStop: Trying To Grasp The Value, But Price Still Doubly Inflated
Nov 18 WWD Woodward Signs Agreement to Divest Its Heavy Duty Gas Turbines Combustion Parts Business Based in Greenville, S.C., to GE Vernova
Nov 18 SEIC Trump Team Weighs Pairing Warsh at Treasury, Bessent on NEC
Nov 18 BRBR BellRing Brands: Fiscal Q4 Earnings Snapshot
Nov 18 BRBR BellRing Brands Non-GAAP EPS of $0.51 in-line, revenue of $555.8M beats by $10.79M
Nov 18 GMED Globus Medical Stock: Re-Rated After A Solid Year
Nov 18 BRBR BellRing Brands (NYSE:BRBR) Exceeds Q3 Expectations, Guides for Strong Full-Year Sales
Nov 18 GME Short Squeezes With Big Promises
Nov 18 GME Short Squeezes With Big Promises
Nov 18 WEN Wendy's names UPS executive as new CFO
Nov 18 BRBR BellRing Brands Reports Results for the Fourth Quarter and Fiscal Year 2024
Nov 18 H Hyatt Announces Pricing of Public Offering of Senior Notes
Nov 18 LANC Lancaster Colony to acquire a sauce and dressing production facility
Nov 18 WEN THE WENDY'S COMPANY NAMES KEN COOK CHIEF FINANCIAL OFFICER
Nov 18 COHR Coherent Launches High-Speed Photodiodes for 1.6T Transceivers
The investment seeks to track the investment results of an index composed of mid-capitalization U.S. equities while applying screens for company involvement in controversies and controversial business activities. The fund seeks to track the investment results of the S&P MidCap 400 Sustainability Screened Index, which measures the performance of the mid-capitalization sector of the U.S. equity market while excluding companies involved in controversial business activities and controversies, as determined by S&P Dow Jones Indices LLC. BFA uses a representative sampling indexing strategy to manage the fund. It is non-diversified.
Exchange Traded Fund ETF Index Fund Environmental Sustainability Ethical Investment Environmentalism Midcap Social And Corporate Governance ESG Sustainable Investing S&P Dow Jones S&P 400 Russell Midcap Index Dow Jones
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