ISHARES IV PLC EDGE MSCI WRL VAL FCT UCITS ETF USD ACCISHARES IV PLC EDGE MSCI WRL VAL FCT UCITS ETF USD ACCISHARES IV PLC EDGE MSCI WRL VAL FCT UCITS ETF USD ACC

ISHARES IV PLC EDGE MSCI WRL VAL FCT UCITS ETF USD ACC

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ISHARES IV PLC EDGE MSCI WRL VAL FCT UCITS ETF USD ACC holdings


As of June 25, 2025
Symbol
Weight %
Shares
Shares Chg %
1M
Market value
Market value Chg %
1M
C
CSCOCisco Systems, Inc.
3.88%
‪‪2.09 M‬‬
+3.90%
‪‪142.70 M‬‬USD
+11.14%
Q
QCOMQUALCOMM Incorporated
2.37%
‪‪558.05 K‬‬
+15.82%
‪‪87.02 M‬‬USD
+21.51%
M
MUMicron Technology, Inc.
2.33%
‪‪674.06 K‬‬
+118.99%
‪‪85.77 M‬‬USD
+189.14%
I
INTCIntel Corporation
2.07%
‪‪3.43 M‬‬
+8.91%
‪‪76.22 M‬‬USD
+17.66%
T
TAT&T Inc
1.82%
‪‪2.39 M‬‬
−19.46%
‪‪66.87 M‬‬USD
−17.91%
7
7203Toyota Motor Corp.
1.72%
‪‪3.74 M‬‬
+2.94%
‪‪63.12 M‬‬USD
−4.94%
V
VZVerizon Communications Inc.
1.72%
‪‪1.50 M‬‬
+0.71%
‪‪63.12 M‬‬USD
−2.48%
B
BATSBritish American Tobacco p.l.c.
1.63%
‪‪1.25 M‬‬
+4.28%
‪‪60.04 M‬‬USD
+11.34%
C
CMCSAComcast Corporation Class A
1.38%
‪‪1.46 M‬‬
+22.92%
‪‪50.71 M‬‬USD
+22.53%
H
HSBAHSBC Holdings Plc
1.23%
‪‪3.74 M‬‬
−18.80%
‪‪45.35 M‬‬USD
−16.05%
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