Holdings

Symbol Grade Price % Change Allocation
NVO C 0.00 4.02
NVS B 0.00 1.45
UL B 0.00 1.34
ABBV C 0.00 1.18
CNI C 0.00 0.97
DEO F 0.00 0.67
STM D 0.00 0.38
CHKP D 0.00 0.23
GIB D 0.00 0.21
LOGI D 0.00 0.12

Recent News for iShares MSCI International Developed Quality Factors ETF & its Holdings

Date Stock Title
Apr 25 ABBV Cigna to offer Humira rivals with $0 copay at specialty pharmacy
Apr 25 NVO Sanders takes aim at US drug prices of Novo’s Ozempic and Wegovy
Apr 25 UL Unilever Personal Care brands to partner CONMEBOL Copa América USA 2024™
Apr 25 ABBV AbbVie's Dermatitis Drug Shown 'Superior' To Sanofi/Regeneron's Dupixent In Head-To-Head Study
Apr 25 UL Why Personal Products Major Unilever Shares Are Rising Today
Apr 25 UL AstraZeneca, Anglo American, Deutsche Bank: European Stocks in Focus
Apr 25 CHKP Check Point, other cybersecurity firms dip, as quarterly earnings unfurl
Apr 25 UL Why Unilever Stock Jumped Higher on the Market's Down Day
Apr 25 CHKP Check Point Software Technologies Ltd. (CHKP) Q1 2024 Earnings Call Transcript
Apr 25 CHKP Check Point Software's Products and Licenses Revenue Falls In Q1, Stock Slides
Apr 25 ABBV AbbVie reports positive results from Rinvoq versus Dupixent study
Apr 25 DEO Keurig (KDP) Stock Gains as Q1 Earnings & Sales Top Estimates
Apr 25 STM Not All Chipmakers Are Doing Great; STMicroelectronics Lowers Annual Outlook After Q1 Performance
Apr 25 UL 12 Countries with the Largest Slum Population in Europe
Apr 25 STM Semiconductors largely higher even as big tech sells off; Intel results on deck
Apr 25 ABBV AbbVie Q1 Preview: Skyrizi and Rinvoq’s launches could help Q1
Apr 25 CHKP Check Point Software Technologies Ltd. 2024 Q1 - Results - Earnings Call Presentation
Apr 25 UL Ben & Jerry’s social justice activism ‘a strength not a weakness’, insists Unilever
Apr 25 UL Unilever and LVMH have one common bright spot—people love spending on beauty, and it’s outshining their other products
Apr 25 LOGI Logitech (LOGI) to Report Q4 Earnings: What's in the Offing?
The investment seeks to track the investment results of the MSCI World ex USA Sector Neutral Quality Index. The fund generally invests at least 80% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. The index measures the performance of international developed large- and mid-capitalization stocks exhibiting relatively higher quality characteristics as identified through three fundamental variables: return on equity, earnings variability and debt-to-equity. The fund is non-diversified.
Exchange Traded Fund ETF Index Fund MSCI EAFE Msci World
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