Holdings

Symbol Grade Price % Change Allocation
MRK A -0.05 1.62
WM B 0.60 1.53
MSI A 0.09 1.46
CSCO D 0.37 1.45
WMT B -1.75 1.43
ROP C 0.09 1.41
RSG A -0.60 1.25
TMUS B 0.55 1.25
MCK A 0.89 1.22
PEP A -2.97 1.21
JNJ F 0.30 1.12
VRTX C 1.25 1.08
MCD D 0.47 1.00
COR C 0.35 0.97
ED A 0.12 0.92
NVS B 2.27 0.88
MMC C 0.14 0.87
KR B -2.28 0.86
BRK.A C -0.34 0.86
PG A 0.60 0.84
VZ D 2.85 0.81
AZO D -0.02 0.80
REGN C 0.80 0.78
DUK A 0.08 0.76
HSY D 0.40 0.74
GILD F 0.12 0.72
PGR A 0.48 0.70
SO A 0.37 0.70
IBM D 0.16 0.70
GIS A -0.49 0.69
UNH D -1.03 0.67
KEYS D 1.42 0.65
WEC A -0.01 0.65
MSFT D 1.65 0.62
XEL C 0.56 0.61
V C 0.65 0.58
ORLY C 0.08 0.58
LLY D 1.96 0.55
EA D 0.02 0.54
BMY F -0.31 0.54
ABBV C 0.98 0.52
EXPD D -0.89 0.52
AMGN C 0.60 0.48
GIB C -0.57 0.48
CHD A 0.72 0.47
K A 0.28 0.46
APH A 2.15 0.46
CHT C 0.13 0.45
CHKP C 1.27 0.44
L B 0.31 0.43
HD C 0.86 0.43
NBIX B 4.81 0.40
MKL C 0.56 0.40
KHC A -0.21 0.40
CB C -0.64 0.39
ORCL D 0.49 0.39
WCN C -0.06 0.39
FI B 4.43 0.38
HUM D 0.82 0.38
BAH B 2.06 0.38
JNPR D -0.64 0.36
CL A 0.28 0.36
VRSN F 0.21 0.36
DPZ B 2.10 0.36
SJM D 0.20 0.35
KDP A 0.00 0.35
AKAM F 0.87 0.34
FFIV D 0.38 0.33
AON D 0.27 0.32
TJX C 0.45 0.32
HRL A 0.00 0.31
INCY F -0.52 0.31
AEP B 0.78 0.31
KMB A 5.51 0.31
NOC B 0.79 0.30
BDX F 0.21 0.29
AJG C 0.15 0.29
ERIE C 0.91 0.29
BMRN A 2.87 0.29
GEN D 0.93 0.28
MDLZ B 1.93 0.27
TRV D 0.02 0.26
YUM A 0.75 0.26
CHRW D -0.58 0.25
CPB A -0.35 0.25
ACN F -0.19 0.25
CF D -0.33 0.25
CME B 0.60 0.24
BRO C 0.52 0.24
UTHR B 0.18 0.23
MPC B 0.71 0.22
ROL D 0.45 0.21
JKHY C 0.99 0.21
T C 1.16 0.21
PTC C 1.06 0.21
LMT A -0.27 0.21
WRB D -5.21 0.21
CTSH D -0.63 0.20
MFG A 0.77 0.20
ULTA F 0.31 0.20
MA C 1.33 0.18
CI A -0.15 0.16
CMS B -0.08 0.15
MKC A 0.44 0.15
MNST D 0.24 0.14
DGX A 5.08 0.14
PFE F 0.23 0.13
LNG B -0.97 0.13
GDDY A 1.64 0.12
CTVA B -0.04 0.12
ACGL A -0.07 0.12
BVN D -0.13 0.11
EG D -1.12 0.11
ABT D 0.49 0.11
NEM B 0.67 0.11
AIZ C 0.98 0.11
ELV A 0.13 0.10
ODFL B 3.63 0.10
TDY D 0.74 0.10
AZPN B 0.56 0.10
WIT C -0.18 0.10
PCG A 0.06 0.09
AEE B -0.48 0.09
WIT C -0.18 0.08
HSIC D 1.00 0.07
FICO C 3.26 0.07
CLX C 1.41 0.07
EVRG A -0.02 0.06
ACI F 0.44 0.06
GPC A 0.18 0.06
ZTO B 0.70 0.05
HOLX A 1.27 0.05
KO B 0.15 0.05
CAG A 0.55 0.05

Recent News for iShares MSCI All Country World Minimum Volatility Index Fund & its Holdings

Date Stock Title
Apr 24 PEP Tesla Unveils Timeline For Scaling Up Electric Semi-Truck Production, First Units From New Factory To 'External Customers' By 2026
Apr 24 ORCL Oracle CEO announces plans to move world headquarters to Nashville
Apr 24 WRB W. R. Berkley Corporation (WRB) Q1 2024 Earnings Call Transcript
Apr 24 CLX Clorox to Present at Goldman Sachs Global Staples Forum
Apr 24 V Visa Inc. (V) Q2 2024 Earnings Call Transcript
Apr 24 ORCL Oracle to Move Headquarters Again, This Time to Nashville
Apr 23 CB Chubb (CB) Q1 Earnings: Taking a Look at Key Metrics Versus Estimates
Apr 23 NVS Why Novartis Stock Topped the Market on Tuesday
Apr 23 ORCL Oracle Is Moving to Nashville, Founder Larry Ellison Says
Apr 23 TJX Here's Why TJX (TJX) Gained But Lagged the Market Today
Apr 23 V Visa (V) Reports Q2 Earnings: What Key Metrics Have to Say
Apr 23 CB Chubb Ltd (CB) Q1 Earnings: Solid Performance with Core Operating Income and Premiums Exceeding ...
Apr 23 CB Insurer Chubb's Q1 profit rises on strong investment returns, underwriting
Apr 23 IBM Meta, IBM, AT&T, Boeing, Ford report earnings: What to Watch
Apr 23 HUM Meta, IBM, AT&T, Boeing, Ford report earnings: What to Watch
Apr 23 T Meta, IBM, AT&T, Boeing, Ford report earnings: What to Watch
Apr 23 BRK.A Berkshire Hathaway B (BRK.B) Stock Declines While Market Improves: Some Information for Investors
Apr 23 WMT Walmart (WMT) Stock Sinks As Market Gains: What You Should Know
Apr 23 ULTA Ulta Beauty (ULTA) Surpasses Market Returns: Some Facts Worth Knowing
Apr 23 IBM HashiCorp Shares Spike on Report IBM May Bid on It
The investment seeks to track the investment results of an index composed of developed and emerging market equities that, in the aggregate, have lower volatility characteristics relative to the broader developed and emerging equity markets. The fund generally invests at least 90% of its assets in securities of the underlying index or in depositary receipts representing securities in the underlying index. It seeks to track the underlying index, which has been developed by MSCI Inc. ("MSCI") to measure the combined performance of equity securities in both emerging and developed markets that in aggregate have lower volatility. The fund is non-diversified.
Exchange Traded Fund ETF Technical Analysis Emerging Market
Back to the Main ACWV Page...