Holdings

Symbol Grade Price % Change Allocation
TMUS B 0.48 2.03
MSI A 0.63 1.88
WMT A 1.15 1.82
CSCO B 0.57 1.57
WM B 0.63 1.50
MCK A 0.81 1.42
ROP C 0.38 1.36
RSG A 0.52 1.19
VRTX D -0.90 1.13
PEP F 0.55 1.08
MRK F 0.67 1.06
JNJ D 0.76 1.05
COR B 0.23 1.05
MCD D -1.79 1.02
BRK.A B -0.47 0.91
CB D 0.70 0.88
MMC D 0.48 0.88
PGR B 1.38 0.84
ED C -0.04 0.84
UNH B 0.15 0.83
KR B 1.16 0.83
PG C 1.09 0.82
DUK C 0.59 0.81
SO C -0.17 0.80
NOC D 0.67 0.77
AZO C 0.00 0.77
VZ C 0.64 0.76
MSFT D -0.05 0.76
IBM C 2.29 0.73
WEC A 0.51 0.68
GDDY A 0.99 0.64
EA A 0.11 0.63
ORLY B 1.20 0.62
REGN F 0.42 0.61
GIS D 0.03 0.61
V A 0.93 0.59
K A 0.21 0.57
ACGL D 2.26 0.57
CBOE C 0.67 0.54
APH B 3.85 0.54
ORCL A 2.21 0.54
LLY F -1.70 0.52
ABBV F 1.44 0.49
GILD B 0.33 0.48
FI A 0.03 0.48
CHD A 0.92 0.46
HSY F 0.47 0.44
MKL A 1.08 0.43
ELV F 0.89 0.42
WRB A 1.07 0.41
KEYS A 1.15 0.41
L A 0.60 0.40
UTHR C 0.13 0.40
WCN A 0.00 0.39
INCY C -1.38 0.38
CHT D 0.19 0.37
TJX A -0.31 0.37
BAH F 3.58 0.37
KDP D 0.20 0.36
FFIV A 1.20 0.36
CL D 0.24 0.35
VRSN D 0.61 0.35
AON B 0.34 0.35
AMGN D 0.23 0.34
KHC F 0.62 0.33
AJG A 0.49 0.33
TRV B 1.21 0.32
TSN B 1.53 0.32
JNPR D -0.14 0.32
NBIX C 0.76 0.31
HUM C 0.51 0.31
BRO B 1.13 0.30
GEN B 1.38 0.30
KMB C 0.87 0.30
AKAM F 2.75 0.27
SJM D 0.32 0.27
T A 0.85 0.26
ACN B 1.34 0.26
ERIE D -0.46 0.26
MDLZ F 0.51 0.25
BMY B 0.05 0.25
CF A 1.02 0.25
CI D 0.78 0.24
YUM D 0.40 0.24
FCNCA A 1.86 0.23
LMT D 1.35 0.23
CME A 0.03 0.23
HRL D 0.41 0.23
FWONK A 1.49 0.22
PTC B 0.00 0.22
BDX F 0.75 0.22
CPB D 0.59 0.22
CTSH B 1.22 0.21
ROL B -0.97 0.21
MFG A 2.64 0.21
JKHY D 0.89 0.20
MA B 0.96 0.19
BMRN F -0.75 0.19
DPZ C 1.76 0.19
CAH B 1.46 0.18
GD D 0.72 0.18
LNG A 0.41 0.16
ULTA F -2.93 0.16
CMS C 0.00 0.16
MPC C 1.35 0.15
DGX A 0.86 0.15
AIZ A 0.90 0.13
WIT A -1.38 0.12
CTVA C 1.57 0.12
MOH F -0.13 0.12
FICO A 1.04 0.12
MNST C -0.02 0.12
AZPN A 0.49 0.11
TDY B 2.14 0.11
AEE A 1.05 0.11
XEL A 0.79 0.11
EG C 1.30 0.10
WTW B 0.65 0.10
XOM A 1.66 0.10
WDAY C 2.52 0.10
PCG A 0.45 0.10
ABT B 0.02 0.10
TPL A 0.01 0.10
NEM D 0.31 0.09
TRGP A 2.14 0.08
AEP C 0.36 0.07
IT C 0.92 0.07
KNX B 1.66 0.06
ANET D 5.03 0.06
DINO D 1.91 0.06
FANG C 2.16 0.06
CHRW B 0.08 0.06
CAG D 0.61 0.05
GPC F 1.25 0.05
HOLX D 0.96 0.05
ACI C -0.55 0.05
KO D 0.85 0.05
HSIC C -1.96 0.05
HKD F 0.00 0.00

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

Date Stock Title
Nov 21 ABT Major companies that are also popular short-selling stocks
Nov 21 KHC Kraft Heinz: Hold The Mustard
Nov 21 KO Warren Buffett Is Set To Collect $776 Million In Coca-Cola Dividends – But Daughter Says His Wife Buys Him The Soda 'On Sale'
Nov 21 MA Mastercard joins hands with JP Morgan to get foreign exchange on blockchain
Nov 21 VZ Verizon brings more joy and less stress to your holiday shopping experience
Nov 21 IBM Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 VZ Verizon Business secures new 5-year agreement with the U.S. Department of Agriculture (USDA)
Nov 21 XOM Exxon Mobil's (NYSE:XOM) investors will be pleased with their strong 111% return over the last three years
Nov 21 VZ Verizon deploys first-ever interoperable multi-vendor O-RAN DAS system
Nov 21 XOM Exxon targets $200M to expand plastics recycling operations at Texas plants
Nov 21 MSFT Microsoft (MSFT) Corporation Fell as its Azure Cloud Segment’s Revenue Fell Short Of Expectations
Nov 21 MA Mastercard's 3-Yr Plan Looks Sluggish And Pricey
Nov 21 LMT Lockheed Martin Stock Under Pressure With Technicals Hinting At Recovery Potential
Nov 21 MSFT Artificial General Intelligence Is Coming: 1 Unstoppable Vanguard ETF to Buy Now
Nov 21 AIZ Assurant Reports Trade-In Programs Returned Over $1 Billion to Consumers in Q3 2024, Marking First-Ever Third-Quarter Milestone
Nov 21 MSFT Microsoft Corp (MSFT): A Cloud Powerhouse in Ken Griffin’s Portfolio
Nov 21 WDAY Peering Into Workday's Recent Short Interest
Nov 21 ACN Cerence (CRNC) Reports Q4 Loss, Tops Revenue Estimates
Nov 21 XOM Exxon, under fire over plastic recycling, spending $200 million to expand Texas plants
Nov 21 CTSH Cognizant Technology Solutions' (NASDAQ:CTSH) five-year total shareholder returns outpace the underlying earnings growth
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
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