IETC vs. ESGG ETF Comparison

Comparison of iShares Evolved U.S. Technology ETF (IETC) to FlexShares STOXX Global ESG Impact Index Fund (ESGG)
IETC

iShares Evolved U.S. Technology ETF

IETC Description

The investment seeks to provide access to U.S. companies with technology exposure, as classified using a proprietary classification system. The fund seeks to achieve its investment objective by investing, under normal circumstances, at least 80% of its net assets in U.S. listed common stock of large-, mid- and small-capitalization technology companies. It will hold common stock of those companies that fall into the Technology Evolved Sector which have economic characteristics that have been historically correlated with companies traditionally defined as technology companies. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$82.22

Average Daily Volume

19,325

Number of Holdings *

117

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

FlexShares STOXX Global ESG Impact Index Fund

ESGG Description Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the STOXX Global ESG Impact Index.

Grade (RS Rating)

Last Trade

$170.57

Average Daily Volume

4,095

Number of Holdings *

172

* may have additional holdings in another (foreign) market
Performance
Period IETC ESGG
30 Days 3.17% 0.20%
60 Days 5.58% -0.79%
90 Days 8.32% 0.81%
12 Months 39.98% 21.15%
37 Overlapping Holdings
Symbol Grade Weight in IETC Weight in ESGG Overlap
AAPL C 2.42% 5.04% 2.42%
ACN C 4.24% 1.36% 1.36%
ADBE C 1.19% 0.71% 0.71%
ADSK A 0.71% 0.27% 0.27%
AKAM D 0.14% 0.03% 0.03%
AMD F 0.7% 0.68% 0.68%
AMZN C 8.02% 5.56% 5.56%
AVGO D 11.87% 2.36% 2.36%
BBY D 0.06% 0.08% 0.06%
CL D 0.04% 0.15% 0.04%
CRM B 3.82% 0.65% 0.65%
CRWD B 0.33% 0.31% 0.31%
CSCO B 1.85% 0.48% 0.48%
EA A 0.12% 0.13% 0.12%
FDS B 0.3% 0.03% 0.03%
HUBS A 0.14% 0.13% 0.13%
IBM C 1.92% 0.76% 0.76%
ICE C 1.6% 0.44% 0.44%
INTU C 0.07% 0.4% 0.07%
IPG D 0.1% 0.03% 0.03%
IQV D 0.13% 0.1% 0.1%
IRM D 0.09% 0.1% 0.09%
IT C 0.62% 0.11% 0.11%
LRCX F 0.16% 0.19% 0.16%
META D 1.79% 5.0% 1.79%
MSFT F 7.7% 4.91% 4.91%
MU D 0.39% 0.56% 0.39%
NOW A 2.11% 0.42% 0.42%
NTAP C 0.78% 0.07% 0.07%
ORCL B 3.5% 0.6% 0.6%
PANW C 0.82% 0.26% 0.26%
QCOM F 1.35% 0.55% 0.55%
SLB C 0.09% 0.24% 0.09%
SNAP C 0.07% 0.03% 0.03%
SNPS B 0.2% 0.24% 0.2%
TXN C 0.3% 0.55% 0.3%
UBER D 0.23% 0.29% 0.23%
IETC Overweight 80 Positions Relative to ESGG
Symbol Grade Weight
NVDA C 8.78%
MSI B 2.4%
GOOGL C 2.34%
VRSN F 1.99%
CDNS B 1.84%
GOOG C 1.44%
MANH D 1.28%
FTNT C 1.25%
GPN B 1.12%
PH A 0.99%
MA C 0.95%
TEAM A 0.84%
EQIX A 0.74%
SSNC B 0.71%
WDAY B 0.69%
ABNB C 0.66%
VRSK A 0.64%
TYL B 0.63%
TTD B 0.62%
ZM B 0.6%
PLTR B 0.58%
ANET C 0.58%
CDW F 0.57%
MPWR F 0.52%
LMT D 0.41%
ANSS B 0.4%
CSGP D 0.37%
MCO B 0.35%
KLAC D 0.34%
G B 0.32%
MSTR C 0.28%
COIN C 0.28%
TTEK F 0.21%
DASH A 0.21%
SQ B 0.2%
BAH F 0.2%
KEYS A 0.18%
MMC B 0.18%
BSY D 0.17%
QLYS C 0.17%
TRU D 0.17%
DDOG A 0.16%
CACI D 0.15%
PINS D 0.14%
SWKS F 0.13%
MSCI C 0.12%
VEEV C 0.11%
NSIT F 0.1%
TER D 0.1%
NDAQ A 0.09%
CFLT B 0.09%
VRT B 0.09%
ADP B 0.07%
ROK B 0.07%
CPAY A 0.06%
TDY B 0.06%
CBOE B 0.06%
SLAB D 0.06%
CPNG D 0.06%
DELL C 0.06%
JNPR F 0.06%
LPLA A 0.06%
QRVO F 0.06%
FBIN D 0.06%
DOCN D 0.05%
MMS F 0.05%
ILMN D 0.05%
SAIC F 0.05%
APPN B 0.04%
BILL A 0.04%
DXC B 0.04%
GLW B 0.03%
ZI D 0.02%
ENPH F 0.02%
XYL D 0.02%
RIVN F 0.01%
GDDY A 0.01%
ALGN D 0.0%
GRAL C 0.0%
FTV C 0.0%
IETC Underweight 135 Positions Relative to ESGG
Symbol Grade Weight
JPM A -3.41%
XOM B -2.67%
BRK.A B -2.43%
JNJ D -2.19%
LLY F -2.0%
CVX A -1.66%
WMT A -1.47%
PG A -1.18%
UNH C -1.09%
MRK F -0.99%
COST B -0.83%
KO D -0.74%
BLK C -0.59%
ABT B -0.59%
DIS B -0.58%
SONY B -0.57%
TJX A -0.55%
GS A -0.55%
SYK C -0.54%
C A -0.52%
NVS D -0.48%
AMAT F -0.46%
INTC D -0.44%
HSBH B -0.4%
ELV F -0.37%
VRTX F -0.36%
TM D -0.34%
BKNG A -0.34%
MUFG B -0.33%
UL D -0.31%
LOW D -0.3%
UNP C -0.29%
PFE D -0.28%
AMT D -0.27%
APO B -0.27%
BMY B -0.25%
GM B -0.25%
USB A -0.24%
WELL A -0.23%
NXPI D -0.23%
GILD C -0.23%
ZTS D -0.23%
CTAS B -0.22%
GEHC F -0.21%
MDT D -0.21%
MAR B -0.2%
TGT F -0.2%
HPQ B -0.19%
CBRE B -0.19%
HLT A -0.18%
CI F -0.18%
CMG B -0.17%
NKE D -0.17%
MDLZ F -0.17%
TT A -0.17%
LULU C -0.15%
KMB D -0.13%
EW C -0.13%
DEO F -0.13%
CVS D -0.13%
ABBV D -0.13%
ROST C -0.13%
TD F -0.13%
LYG F -0.12%
VICI C -0.11%
TRV B -0.11%
GIS D -0.11%
BCS C -0.11%
KR B -0.11%
WDC D -0.1%
NEM D -0.1%
OMC C -0.1%
AEP D -0.1%
HMC F -0.1%
HPE B -0.1%
WSM B -0.1%
MET A -0.09%
WTW B -0.09%
CTSH B -0.09%
E F -0.09%
NU C -0.09%
PEG A -0.09%
CNI D -0.09%
CMI A -0.09%
OTIS C -0.08%
DFS B -0.08%
YUM B -0.08%
WY D -0.08%
AWK D -0.08%
TSCO D -0.08%
DOC D -0.07%
CLX B -0.07%
DECK A -0.07%
EIX B -0.06%
CAH B -0.06%
LII A -0.06%
EBAY D -0.06%
CCEP C -0.06%
VTR C -0.06%
HOLX D -0.06%
GEN B -0.06%
CCL B -0.06%
BALL D -0.05%
K A -0.05%
XRX F -0.05%
STLA F -0.05%
ESS B -0.05%
ARE D -0.05%
HSY F -0.05%
ACM A -0.04%
EL F -0.04%
NVT B -0.04%
PNR A -0.04%
JBL B -0.04%
EXPE B -0.04%
MRNA F -0.03%
AES F -0.03%
XPO B -0.03%
TFX F -0.03%
PSTG D -0.03%
DOX D -0.03%
DPZ C -0.03%
MRO B -0.03%
BAX D -0.03%
SMCI F -0.03%
FFIV B -0.03%
PFG D -0.03%
SUI D -0.03%
OKTA C -0.02%
HST C -0.02%
LOGI D -0.02%
AGCO D -0.02%
QGEN D -0.02%
DLTR F -0.02%
AEI D -0.01%
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