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IWF · iShares Russell 1000 Growth ETF ETF

iShares Trust

SEC fund profile
$123.41 -0.02% At close · Sep 4
Net assets $128,899,136,985
Holdings371
1 month
-0.96%
Year to date
+4.48%
52-week range
$102.23–$129.14
30-session avg volume
3,378,923

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000004346
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings54.34%

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

Asset allocation

EC99.87%
STIV0.74%
DE0.00%

Country allocation

US99.02%
IE0.45%
KY0.42%
LU0.21%
GB0.14%
LR0.13%
CA0.10%
Other0.14%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
NVIDIA CORPORATION$17,826,526,32913.83%
APPLE INC.$8,656,185,3026.72%
ALPHABET INC.$7,952,843,7226.17%
BROADCOM INC.$6,711,599,8425.21%
ALPHABET INC.$6,416,189,7834.98%
MICROSOFT CORPORATION$5,292,109,3444.11%
MICRON TECHNOLOGY, INC.$4,969,396,2113.86%
TESLA, INC.$4,692,567,3253.64%
META PLATFORMS, INC.$3,868,908,3593.00%
ELI LILLY AND COMPANY$3,657,197,6062.84%
ADVANCED MICRO DEVICES, INC.$3,608,769,7662.80%
APPLIED MATERIALS, INC.$2,189,043,7291.70%
VISA INC.$2,163,600,3341.68%
LAM RESEARCH CORPORATION$2,068,321,3561.60%
CATERPILLAR INC.$1,847,432,1811.43%
MASTERCARD INCORPORATED$1,584,521,7411.23%
KLA CORPORATION$1,507,265,3191.17%
GENERAL ELECTRIC COMPANY$1,474,271,4181.14%
SANDISK CORPORATION$1,263,459,4650.98%
GE VERNOVA INC.$1,207,336,6550.94%
NETFLIX, INC.$1,144,116,1700.89%
PALO ALTO NETWORKS, INC.$1,050,245,0910.81%
TEXAS INSTRUMENTS INCORPORATED$1,035,193,2350.80%
THE HOME DEPOT, INC.$994,483,1850.77%
MARVELL TECHNOLOGY, INC.$992,374,6600.77%
PALANTIR TECHNOLOGIES INC.$989,470,6860.77%
ORACLE CORPORATION$959,279,9560.74%
AMPHENOL CORPORATION$825,926,4310.64%
WESTERN DIGITAL CORPORATION$824,548,5580.64%
CORNING INCORPORATED$771,284,6780.60%
AMAZON.COM, INC.$738,092,9800.57%
CROWDSTRIKE HOLDINGS, INC.$731,357,5080.57%
BlackRock Funds III: BlackRock Cash Funds: Institutional; SL Agency Shares$714,333,4710.55%
COSTCO WHOLESALE CORPORATION$693,459,2340.54%
ARISTA NETWORKS, INC.$677,549,0520.53%
INTUITIVE SURGICAL, INC.$535,398,1750.42%
AMGEN INC.$528,053,5230.41%
BOOKING HOLDINGS INC.$526,995,4350.41%
VERTIV HOLDINGS CO$490,579,6030.38%
APPLOVIN CORPORATION$472,230,9650.37%
TRANE TECHNOLOGIES PUBLIC LIMITED COMPANY$414,410,3560.32%
QUANTA SERVICES, INC.$410,463,8420.32%
HOWMET AEROSPACE INC.$408,754,5800.32%
THE BOEING COMPANY$406,895,4120.32%
CADENCE DESIGN SYSTEMS, INC.$395,294,1550.31%
LOCKHEED MARTIN CORPORATION$395,237,0300.31%
SERVICENOW, INC.$389,129,3500.30%
FORTINET, INC.$355,602,6480.28%
MCKESSON CORPORATION$331,802,8500.26%
DATADOG, INC.$326,608,3420.25%