IBDR vs. ACWV ETF Comparison

Comparison of iShares iBonds Dec 2026 Term Corporate ETF (IBDR) to iShares MSCI All Country World Minimum Volatility Index Fund (ACWV)
IBDR

iShares iBonds Dec 2026 Term Corporate ETF

IBDR Description

The iShares iBonds Dec 2026 Term Corporate ETF seeks to track the investment results of an index composed of U.S. dollar-denominated, investment-grade corporate bonds maturing in 2026.

Grade (RS Rating)

Last Trade

$24.10

Average Daily Volume

511,463

Number of Holdings *

5

* may have additional holdings in another (foreign) market
ACWV

iShares MSCI All Country World Minimum Volatility Index Fund

ACWV Description 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.

Grade (RS Rating)

Last Trade

$114.60

Average Daily Volume

130,981

Number of Holdings *

139

* may have additional holdings in another (foreign) market
Performance
Period IBDR ACWV
30 Days 0.23% 0.82%
60 Days 0.29% 2.62%
90 Days 1.35% 5.91%
12 Months 7.46% 22.08%
3 Overlapping Holdings
Symbol Grade Weight in IBDR Weight in ACWV Overlap
ABBV B 0.78% 0.6% 0.6%
IBM D 0.61% 0.73% 0.61%
MSFT C 0.72% 0.73% 0.72%
IBDR Overweight 2 Positions Relative to ACWV
Symbol Grade Weight
WFC B 0.66%
AAPL B 0.64%
IBDR Underweight 136 Positions Relative to ACWV
Symbol Grade Weight
TMUS B -1.92%
WMT B -1.78%
MSI B -1.72%
CSCO A -1.5%
WM B -1.47%
ROP B -1.3%
MCK B -1.17%
RSG B -1.13%
VRTX B -1.12%
MRK F -1.11%
JNJ D -1.11%
PEP F -1.1%
MCD D -1.01%
COR B -0.99%
ED D -0.91%
BRK.A C -0.89%
MMC D -0.88%
CB D -0.87%
SO D -0.85%
DUK D -0.84%
PG F -0.82%
PGR B -0.8%
NOC D -0.79%
VZ D -0.79%
KR B -0.79%
UNH B -0.79%
AZO C -0.74%
WEC C -0.68%
REGN F -0.66%
GIS F -0.65%
EA A -0.58%
CBOE C -0.58%
ORLY B -0.58%
GDDY A -0.58%
K B -0.57%
ACGL D -0.57%
V A -0.56%
LLY F -0.55%
APH A -0.5%
ORCL A -0.49%
GILD A -0.46%
FI B -0.45%
HSY F -0.44%
BAH C -0.44%
CHD C -0.43%
ELV F -0.42%
KEYS A -0.4%
L B -0.39%
UTHR A -0.39%
WRB B -0.39%
MKL B -0.39%
WCN C -0.38%
AMGN D -0.37%
CHT D -0.37%
KDP F -0.36%
CL F -0.36%
INCY A -0.36%
KHC F -0.35%
AON B -0.35%
TJX C -0.35%
FFIV B -0.35%
VRSN C -0.34%
AJG C -0.32%
JNPR B -0.32%
NBIX C -0.31%
AKAM C -0.31%
KMB F -0.31%
TRV B -0.3%
BRO B -0.29%
HUM F -0.29%
TSN D -0.29%
GEN B -0.29%
ERIE D -0.29%
SJM F -0.28%
MDLZ F -0.26%
T C -0.26%
ACN B -0.25%
LMT D -0.24%
CME C -0.24%
HRL F -0.24%
BMY B -0.24%
CF C -0.24%
BDX F -0.23%
YUM C -0.23%
CI F -0.23%
CPB F -0.23%
JKHY C -0.21%
FWONK C -0.21%
FCNCA B -0.21%
PTC B -0.21%
CTSH B -0.2%
MFG B -0.2%
ROL D -0.2%
GD C -0.19%
BMRN F -0.19%
MA B -0.18%
DPZ C -0.18%
CAH A -0.17%
CMS D -0.17%
ULTA C -0.16%
DGX B -0.15%
MPC F -0.14%
LNG A -0.14%
CTVA C -0.13%
MOH D -0.13%
MNST B -0.12%
AEE C -0.11%
FICO A -0.11%
XEL B -0.11%
AIZ B -0.11%
WIT B -0.11%
WTW A -0.1%
EG F -0.1%
PCG B -0.1%
XOM B -0.1%
NEM D -0.1%
ABT C -0.1%
AZPN B -0.1%
TDY B -0.1%
WDAY C -0.09%
TPL B -0.09%
TRGP A -0.07%
IT A -0.07%
AEP D -0.07%
DINO F -0.06%
ANET A -0.06%
HSIC F -0.06%
CHRW B -0.06%
FANG F -0.06%
ACI D -0.05%
CAG F -0.05%
HOLX D -0.05%
KO F -0.05%
KNX B -0.05%
GPC F -0.04%
HKD F -0.0%
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