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IJK · iShares MSCI All Country Asia ex Japan ETF

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$113.70 -1.94 (-1.68%) At close · Aug 28

Portfolio holdings reported by registered funds to the SEC on Form N-PORT — the individual securities a fund owns. Only mutual funds, ETFs and closed-end funds file N-PORT, so operating companies show no data.

iShares S&P 100 ETF

Reported 2026-06-30
Net Assets
$20,043,580,626
Total Assets
$20,046,867,357
Holdings
104
Filed
2026-08-27
Holding Balance Value % Net Assets
NVIDIA CORP 10,488,711 $2,098,686,184 10.47%
APPLE INC 6,360,367 $1,840,435,795 9.18%
MICROSOFT CORP 3,216,888 $1,199,963,562 5.99%
AMAZON.COM INC 4,239,118 $1,010,351,384 5.04%
ALPHABET INC 2,539,266 $907,457,490 4.53%
BROADCOM INC 2,050,351 $774,520,090 3.86%
ALPHABET INC 2,046,772 $723,185,951 3.61%
MICRON TECHNOLOGY INC 488,366 $563,715,990 2.81%
META PLATFORMS INC 950,999 $535,688,227 2.67%
TESLA INC 1,219,168 $512,782,061 2.56%
ELI LILLY & COMPANY 342,570 $410,888,735 2.05%
ADVANCED MICRO DEVICES INC 706,133 $410,199,721 2.05%
BERKSHIRE HATHAWAY INC 793,923 $397,271,130 1.98%
JP MORGAN CHASE & COMPANY 1,160,364 $379,821,948 1.89%
INTEL CORP 2,045,921 $285,671,949 1.43%
JOHNSON & JOHNSON 1,042,447 $264,750,265 1.32%
APPLIED MATERIALS INC 343,673 $248,475,579 1.24%
VISA INC 718,738 $246,591,820 1.23%
EXXONMOBIL HOLDINGS CORP 1,794,972 $245,408,572 1.22%
LAM RESEARCH CORP 541,560 $234,674,195 1.17%
WALMART INC 1,898,513 $215,025,582 1.07%
CATERPILLAR INC 199,460 $212,404,954 1.06%
CISCO SYSTEMS INC 1,710,503 $200,915,682 1.00%
ABBVIE INC 765,111 $192,532,532 0.96%
COSTCO WHOLESALE CORP 192,124 $179,726,238 0.90%
MASTERCARD INC 349,417 $179,460,571 0.90%
GE AEROSPACE 451,818 $168,857,941 0.84%
UNITEDHEALTH GROUP INC 393,272 $163,455,641 0.82%
BANK OF AMERICA CORP 2,827,328 $161,101,149 0.80%
HOME DEPOT INC (THE) 431,330 $152,121,464 0.76%
PROCTER & GAMBLE COMPANY (THE) 1,008,401 $147,871,923 0.74%
MERCK & COMPANY INC 1,069,559 $137,438,332 0.69%
GE VERNOVA INC 116,409 $136,764,278 0.68%
COCA-COLA COMPANY (THE) 1,676,873 $136,279,469 0.68%
CHEVRON CORP 810,715 $134,384,118 0.67%
NETFLIX INC 1,823,489 $130,197,115 0.65%
GOLDMAN SACHS GROUP INC (THE) 127,753 $129,205,552 0.64%
PHILIP MORRIS INTERNATIONAL INC 674,935 $122,102,491 0.61%
TEXAS INSTRUMENTS INC 394,116 $117,474,156 0.59%
PALANTIR TECHNOLOGIES INC 994,315 $116,006,731 0.58%
INTERNATIONAL BUSINESS MACHINES CORP 407,018 $114,457,532 0.57%
RTX CORP 583,182 $110,647,121 0.55%
WELLS FARGO & COMPANY 1,325,216 $109,515,850 0.55%
MORGAN STANLEY 518,645 $108,417,551 0.54%
ORACLE CORP 734,829 $107,689,190 0.54%
LINDE PLC 200,220 $103,902,167 0.52%
CITIGROUP INC 738,601 $103,374,596 0.52%
AMGEN INC 233,774 $84,654,241 0.42%
QUALCOMM INC 456,494 $84,355,526 0.42%
MCDONALD'S CORP 307,685 $83,170,332 0.41%
Showing 1–50 of 104 holdings
Key facts CIK 1100663 CUSIP 464288182 13F (30d) 156 filings 152 filers