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$65.76 -0.90 (-1.35%) 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 U.S. Power Infrastructure ETF

Reported 2026-06-30
Net Assets
$419,545,841
Total Assets
$419,678,766
Holdings
69
Filed
2026-08-24
Holding Balance Value % Net Assets
GE VERNOVA INC. 27,098 $31,836,356 7.59%
EATON CORPORATION PUBLIC LIMITED COMPANY 62,584 $26,668,294 6.36%
QUANTA SERVICES, INC. 36,100 $25,993,444 6.20%
NEXTERA ENERGY, INC. 276,102 $24,233,473 5.78%
EQT CORPORATION 319,320 $16,978,244 4.05%
THE SOUTHERN COMPANY 172,518 $16,511,698 3.94%
DUKE ENERGY CORPORATION 119,294 $15,100,235 3.60%
HUBBELL INCORPORATED 26,960 $14,105,472 3.36%
NVENT ELECTRIC PUBLIC LIMITED COMPANY 82,560 $14,003,002 3.34%
FIRST SOLAR, INC. 54,842 $12,940,518 3.08%
CONSTELLATION ENERGY CORPORATION. 48,921 $12,150,509 2.90%
AMERICAN ELECTRIC POWER COMPANY, INC. 83,258 $11,390,527 2.71%
EXPAND ENERGY CORPORATION 122,132 $11,137,217 2.65%
Dominion Energy, Inc. 134,577 $9,190,263 2.19%
NEXTPOWER INC. 75,789 $9,029,501 2.15%
GENERAC HOLDINGS INC. 30,051 $8,799,233 2.10%
ENTERGY CORPORATION 70,063 $8,047,436 1.92%
VISTRA CORP. 48,492 $7,692,286 1.83%
Xcel Energy Inc. 95,528 $7,670,898 1.83%
EXELON CORPORATION 156,571 $7,299,340 1.74%
CONSOLIDATED EDISON, INC. 56,380 $6,237,319 1.49%
PUBLIC SERVICE ENTERPRISE GROUP INCORPORATED 76,258 $6,189,099 1.48%
WEC ENERGY GROUP INC. 49,845 $5,820,401 1.39%
VALMONT INDUSTRIES, INC. 9,911 $5,724,594 1.36%
PG&E CORPORATION 337,015 $5,668,592 1.35%
ANTERO RESOURCES CORPORATION 150,256 $5,279,996 1.26%
DTE ENERGY COMPANY 31,834 $4,850,547 1.16%
AMEREN CORPORATION 42,350 $4,787,244 1.14%
NRG ENERGY, INC. 32,277 $4,714,379 1.12%
RANGE RESOURCES CORPORATION 120,275 $4,473,027 1.07%
CENTERPOINT ENERGY, INC. 100,099 $4,408,360 1.05%
ENERSYS 18,800 $4,395,816 1.05%
EDISON INTERNATIONAL 58,882 $4,383,765 1.04%
PPL CORPORATION 115,123 $4,184,721 1.00%
Eversource Energy 57,538 $4,158,271 0.99%
POWELL INDUSTRIES, INC. 14,501 $4,152,506 0.99%
MYR GROUP INC. 7,940 $3,973,176 0.95%
FIRSTENERGY CORP. 79,659 $3,786,989 0.90%
CMS ENERGY CORPORATION 47,265 $3,615,773 0.86%
ENPHASE ENERGY, INC. 67,282 $3,312,966 0.79%
Evergy, Inc. 35,266 $3,048,040 0.73%
ALLIANT ENERGY CORPORATION 39,512 $3,014,370 0.72%
TALEN ENERGY CORP 6,944 $2,668,301 0.64%
CNX RESOURCES CORPORATION 72,215 $2,450,255 0.58%
WARRIOR MET COAL, INC. 26,941 $2,186,532 0.52%
CORE NATURAL RESOURCES, INC. 25,720 $2,058,114 0.49%
PINNACLE WEST CAPITAL CORPORATION 18,531 $1,982,817 0.47%
ITRON, INC. 22,628 $1,958,001 0.47%
SOLAREDGE TECHNOLOGIES, INC. 31,040 $1,813,978 0.43%
THE AES CORPORATION 109,125 $1,599,773 0.38%
Showing 1–50 of 69 holdings
Key facts CIK 930667 CUSIP 464286657 13F (30d) 26 filings 25 filers Visit website Investor relations