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ACWV · iShares MSCI Global Min Vol Factor ETF ETF

iShares, Inc.

SEC fund profile
$127.51 -0.55% At close · Sep 4
Net assets $3,282,278,796
Holdings150
1 month
+0.64%
Year to date
+8.32%
52-week range
$116.96–$128.45
30-session avg volume
86,785

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Exchange-traded product
SEC series
S000032498
Report date
May 31, 2026
Holdings coverage
Tracked U.S. equities

Portfolio concentration

Top 10 holdings

Calculated only when the SEC filing is stored with complete portfolio coverage.

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
CISCO SYSTEMS, INC.$70,069,1472.13%
JOHNSON & JOHNSON$46,385,3071.41%
DUKE ENERGY CORPORATION$39,888,3551.22%
MOTOROLA SOLUTIONS, INC.$37,960,3431.16%
MICROSOFT CORPORATION$36,987,6661.13%
THE SOUTHERN COMPANY$35,526,5131.08%
CENCORA, INC.$34,650,4701.06%
BERKSHIRE HATHAWAY INC.$33,798,6341.03%
WASTE MANAGEMENT, INC.$31,863,4270.97%
REPUBLIC SERVICES, INC.$30,271,2510.92%
MCDONALD'S CORPORATION$29,769,1420.91%
Chubb Limited$29,647,7050.90%
Pepsico, Inc.$29,211,1640.89%
AT&T INC.$28,239,0900.86%
VERIZON COMMUNICATIONS INC.$27,505,0450.84%
CONSOLIDATED EDISON, INC.$26,660,3780.81%
THE KROGER CO.$26,139,7930.80%
MCKESSON CORPORATION$25,852,5030.79%
THE PROCTER & GAMBLE COMPANY$25,707,0020.78%
T-MOBILE US, INC.$25,684,8590.78%
THE TJX COMPANIES, INC.$24,879,9310.76%
THE COCA-COLA COMPANY$24,607,4270.75%
WEC ENERGY GROUP INC.$24,296,8520.74%
ROPER TECHNOLOGIES, INC.$24,255,2400.74%
CBOE GLOBAL MARKETS, INC.$24,208,7840.74%
INTERNATIONAL BUSINESS MACHINES CORPORATION$23,712,0270.72%
MONSTER BEVERAGE CORPORATION$20,465,0360.62%
O'Reilly Automotive, Inc.$20,354,3330.62%
TELEDYNE TECHNOLOGIES INCORPORATED$20,261,6230.62%
WALMART INC.$19,941,2940.61%
Northrop Grumman Corporation$19,921,0150.61%
Mondelez International, Inc.$19,329,7200.59%
CME GROUP INC.$18,698,9210.57%
VISA INC.$18,192,2850.55%
GILEAD SCIENCES, INC.$17,708,4640.54%
ELECTRONIC ARTS INC.$16,923,7030.52%
VERISIGN, INC.$16,614,5380.51%
MERCK & CO., INC.$16,260,4850.50%
VERTEX PHARMACEUTICALS INCORPORATED$15,925,7110.49%
MARSH & MCLENNAN COMPANIES, INC.$15,725,3710.48%
ELEVANCE HEALTH, INC.$15,654,0730.48%
CHURCH & DWIGHT CO., INC.$15,598,2090.48%
F5, INC.$15,479,1100.47%
COLGATE-PALMOLIVE COMPANY$15,438,2780.47%
YUM! Brands, Inc.$15,370,3780.47%
COSTCO WHOLESALE CORPORATION$14,419,3930.44%
AMPHENOL CORPORATION$14,318,5960.44%
THE PROGRESSIVE CORPORATION$14,173,9470.43%
ARCH CAPITAL GROUP LTD.$14,136,8040.43%
AUTODESK, INC.$13,857,5510.42%