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iShares MSCI Australia ETF

Open-end / ETF
Registrant
iShares, Inc.
Class ticker
EWA
Net Assets
$1,459,037,292
Holdings
50
Latest Report
May 31, 2026

Net Assets Over Time

Holdings · 50

Export CSV
Holding Balance Value % of Fund Open
BHP GROUP LIMITED
5,142,234 $228,923,816 15.69%
COMMONWEALTH BANK OF AUSTRALIA
1,694,322 $200,803,054 13.76%
WESTPAC BANKING CORPORATION
3,462,945 $89,536,521 6.14%
NATIONAL AUSTRALIA BANK LIMITED
3,105,778 $83,361,122 5.71%
ANZ GROUP HOLDINGS LIMITED
3,051,780 $77,268,810 5.30%
WESFARMERS LIMITED
1,149,436 $65,777,367 4.51%
MACQUARIE GROUP LIMITED
366,593 $62,863,044 4.31%
RIO TINTO LIMITED
375,964 $50,283,108 3.45%
GOODMAN GROUP
2,070,284 $47,046,233 3.22%
WOODSIDE ENERGY GROUP LTD
1,924,803 $42,105,909 2.89%
CSL LIMITED
491,192 $34,113,855 2.34%
TRANSURBAN GROUP
3,149,934 $33,878,258 2.32%
WOOLWORTHS GROUP LIMITED
1,237,552 $31,288,688 2.14%
FORTESCUE LTD
1,713,594 $27,521,795 1.89%
QBE INSURANCE GROUP LIMITED
1,524,321 $24,771,058 1.70%
COLES GROUP LIMITED
1,358,869 $21,175,040 1.45%
ARISTOCRAT LEISURE LIMITED
560,255 $20,130,195 1.38%
NORTHERN STAR RESOURCES LTD
1,376,137 $18,757,600 1.29%
SANTOS LIMITED
3,289,307 $18,458,618 1.27%
EVOLUTION MINING LIMITED
2,053,274 $18,088,170 1.24%
BRAMBLES LIMITED
1,374,331 $16,367,857 1.12%
SOUTH32 LIMITED
4,549,137 $15,781,498 1.08%
TELSTRA GROUP LIMITED
3,991,998 $14,946,502 1.02%
SCENTRE GROUP
5,273,672 $14,488,384 0.99%
SUNCORP GROUP LIMITED
1,095,232 $13,658,465 0.94%
ORIGIN ENERGY LIMITED
1,746,012 $13,625,076 0.93%
INSURANCE AUSTRALIA GROUP LIMITED
2,392,910 $13,152,256 0.90%
COMPUTERSHARE LIMITED
527,563 $13,072,551 0.90%
LYNAS RARE EARTHS LIMITED
918,406 $12,626,692 0.87%
SIGMA HEALTHCARE LIMITED
5,273,495 $11,124,557 0.76%
WASHINGTON H. SOUL PATTINSON AND COMPANY LIMITED
345,613 $10,801,325 0.74%
APA Group
1,329,386 $9,619,297 0.66%
MEDIBANK PRIVATE LIMITED
2,785,752 $9,594,239 0.66%
XERO LIMITED
172,246 $9,359,602 0.64%
THE LOTTERY CORPORATION LIMITED
2,251,655 $8,746,677 0.60%
Vicinity Centres
3,969,651 $7,206,018 0.49%
STOCKLAND CORPORATION LTD
2,449,978 $7,200,410 0.49%
CAR GROUP LIMITED
383,926 $6,846,933 0.47%
SONIC HEALTHCARE LIMITED
476,640 $6,673,833 0.46%
ASX LIMITED
197,044 $6,545,077 0.45%
SGH LIMITED
205,063 $6,055,761 0.42%
REA GROUP LTD
53,290 $5,700,647 0.39%
Pro Medicus Ltd
58,065 $5,519,935 0.38%
WISETECH GLOBAL LIMITED
204,514 $5,316,837 0.36%
QANTAS AIRWAYS LIMITED
748,304 $5,063,439 0.35%
COCHLEAR LIMITED
66,068 $4,758,771 0.33%
AUSTRALIAN DOLLAR
1,960,828 $1,409,346 0.10%
BlackRock Funds III: BlackRock Cash Funds: Treasury; SL Agency Shares
957,993 $957,993 0.07%
SPI 200 FUTURES JUN26
55 $33,125 0.00%
EURO
1,115 $1,301 0.00%