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CRBN | iShares MSCI ACWI Low Carbon Target ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
AAPL Apple Inc. 3.53T 4.43%
232.15 0.16% 27.55% 41.06%
NVDA NVIDIA Corporation 3.36T 4.20%
136.93 0.89% 54.76% 36.78%
MSFT Microsoft Corporation 3.10T 3.73%
416.72 0.14% 30.02% 57.99%
AMZN Amazon.com, Inc. 1.97T 2.25%
187.53 0.34% 38.36% 53.18%
META Meta Platforms, Inc. 1.46T 1.66%
576.93 0.02% 47.25% 57.51%
GOOGL Alphabet Inc. 2.01T 1.29%
162.93 -1.35% 36.54% 58.03%
2330.TW TAIWAN SEMICONDUCTOR MANUFACTURING 1.13%
AVGO Broadcom Inc. 847.85B 1.06%
181.53 2.66% 44.86% 45.06%
GOOG Alphabet Inc. 2.02T 1.03%
164.51 -1.34% 36.31% 63.70%
LLY Eli Lilly and Company 871.65B 0.95%
917.12 0.08% 42.01% 55.17%
TSLA Tesla, Inc. 705.66B 0.89%
220.89 -0.20% 57.58% 42.09%
JPM JPMorgan Chase & Co. 638.51B 0.84%
224.42 0.35% 24.47% 39.74%
UNH UnitedHealth Group Incorporated 522.68B 0.66%
566.03 -0.93% 27.20% 45.96%
PG The Procter & Gamble Company 404.81B 0.65%
172.28 -0.06% 20.66% 80.47%
BRK-B Berkshire Hathaway Inc. 1.00T 0.64%
465.85 0.03% 20.90% 58.81%
V Visa Inc. 573.78B 0.63%
290.39 1.00% 25.11% 61.22%
HD The Home Depot, Inc. 412.81B 0.59%
415.60 -0.72% 27.40% 38.95%
JNJ Johnson & Johnson 395.92B 0.59%
164.47 0.12% 17.06% 23.69%
MA Mastercard Incorporated 470.97B 0.55%
513.76 -0.06% 24.73% 58.08%
NOVO-B.CO NOVO NORDISK CLASS B 0.51%
ABBV AbbVie Inc. 333.08B 0.49%
188.57 -0.99% 32.66% 92.85%
KO The Coca-Cola Company 301.26B 0.49%
69.90 -0.95% 20.60% 67.36%
MCD McDonald's Corporation 225.75B 0.47%
314.70 0.57% 22.56% 60.79%
0700.HK TENCENT HOLDINGS LTD 0.46%
HAL Halliburton Company 25.55B 0.44%
28.94 -1.23% 40.53% 78.81%
PM Philip Morris International Inc. 186.79B 0.44%
120.14 -0.62% 26.63% 92.97%
TRGP Targa Resources Corp. 35.47B 0.42%
161.92 -0.44% 31.15% 69.21%
NFLX Netflix, Inc. 295.12B 0.42%
687.65 -2.04% 43.27% 63.19%
ORCL Oracle Corporation 486.82B 0.41%
175.68 0.52% 27.25% 24.55%
MRK Merck & Co., Inc. 278.20B 0.40%
109.75 -0.61% 32.18% 96.36%
CSCO Cisco Systems, Inc. 225.08B 0.40%
56.40 0.04% 29.13% 43.40%
ASML.WA ASML HOLDING NV 0.37%
BAC Bank of America Corporation 330.56B 0.37%
42.60 -0.47% 27.48% 35.01%
IBM International Business Machines Corporat... 214.52B 0.36%
232.88 -0.34% 33.36% 77.07%
MO Altria Group, Inc. 84.87B 0.35%
49.74 -0.84% 22.46% 62.47%
CRM Salesforce, Inc. 278.30B 0.35%
291.11 0.09% 28.48% 19.26%
SAPGF SAP 0.35%
AMD Advanced Micro Devices, Inc. 252.89B 0.34%
156.25 0.08% 56.26% 69.15%
TPL Texas Pacific Land Corporation 24.50B 0.33%
1,066.02 1.72% 36.68% 82.31%
BKR Baker Hughes Company 36.64B 0.33%
36.88 0.38% 33.57% 69.74%
WMT Walmart Inc. 650.21B 0.33%
80.89 -0.41% 23.68% 43.25%
SBGSF SCHNEIDER ELECTRIC 0.32%
AZN.ST ASTRAZENECA PLC 0.32%
NVSEF NOVARTIS AG 0.32%
PPL.TO PEMBINA PIPELINE CORP 0.31%
ACN Accenture plc 234.41B 0.31%
375.15 0.78% 20.41% 14.66%
WFC Wells Fargo & Company 219.13B 0.29%
64.38 0.77% 33.63% 49.31%
TMO Thermo Fisher Scientific Inc. 228.91B 0.29%
599.25 1.30% 28.24% 50.68%
AME AMETEK, Inc. 39.29B 0.28%
169.68 -0.02% 25.84% 48.13%
COST Costco Wholesale Corporation 392.25B 0.28%
885.29 -0.24% 23.09% 34.38%
ADBE Adobe Inc. 218.70B 0.28%
496.83 -1.14% 29.94% 20.73%
VZ Verizon Communications Inc. 184.59B 0.28%
43.85 -0.14% 26.82% 66.92%
CMCSA Comcast Corporation 163.14B 0.28%
42.23 -0.05% 37.76% 88.41%
AMGN Amgen Inc. 172.66B 0.27%
321.33 -0.09% 40.49% 96.03%
T AT&T Inc. 155.81B 0.27%
21.73 0.09% 31.39% 89.75%
9988.HK ALIBABA GROUP HOLDING LTD 0.27%
LVMHF LVMH 0.27%
TXN Texas Instruments Incorporated 181.06B 0.27%
198.30 -1.19% 39.49% 83.54%
DHR Danaher Corporation 196.43B 0.26%
271.98 1.47% 31.03% 24.15%
RACE Ferrari N.V. 86.70B 0.26%
482.32 2.19% 33.39% 77.24%
QCOM QUALCOMM Incorporated 190.61B 0.26%
171.10 -0.22% 50.21% 86.95%
RHHVF ROCHE HOLDING PAR AG 0.25%
GS The Goldman Sachs Group, Inc. 167.06B 0.25%
529.00 -0.16% 26.57% 37.56%
ALV.WA ALLIANZ 0.25%
RY Royal Bank of Canada 178.60B 0.25%
126.47 0.29% 20.27% 30.81%
URI United Rentals, Inc. 55.59B 0.25%
840.54 -0.65% 43.16% 53.85%
0005.HK HSBC HOLDINGS PLC 0.24%
SLB Schlumberger Limited 62.46B 0.24%
43.99 0.71% 37.21% 64.72%
CB Chubb Limited 122.00B 0.24%
301.89 3.00% 23.97% 54.31%
UNP Union Pacific Corporation 147.26B 0.24%
241.72 -2.57% 26.34% 63.91%
ADP Automatic Data Processing, Inc. 119.07B 0.24%
291.96 0.43% 26.43% 82.01%
AXP American Express Company 203.16B 0.24%
285.78 1.46% 35.69% 86.90%
IR Ingersoll Rand Inc. 40.76B 0.23%
101.03 0.64% 34.95% 83.88%
PFE Pfizer Inc. 165.86B 0.23%
29.27 -1.35% 34.77% 85.50%
PEP PepsiCo, Inc. 239.92B 0.23%
174.67 0.11% 17.54% 24.31%
ISRG Intuitive Surgical, Inc. 168.34B 0.23%
473.73 -0.60% 38.30% 80.44%
AXON Axon Enterprise, Inc. 32.84B 0.23%
434.48 0.15% 49.89% 71.72%
FCX Freeport-McMoRan Inc. 68.90B 0.23%
47.95 -0.04% 43.78% 63.83%
DIS The Walt Disney Company 175.08B 0.23%
96.54 -0.22% 40.59% 73.04%
UBER Uber Technologies, Inc. 167.87B 0.22%
79.90 -2.44% 49.74% 61.87%
BMY Bristol-Myers Squibb Company 107.82B 0.22%
53.18 -0.36% 33.41% 86.41%
AWK American Water Works Company, Inc. 27.43B 0.22%
140.79 -1.26% 25.91% 45.58%
OKE ONEOK, Inc. 56.33B 0.22%
96.44 0.83% 26.25% 67.32%
BTAFF BRITISH AMERICAN TOBACCO 0.22%
FI Fiserv, Inc. 112.69B 0.22%
195.74 -0.99% 27.52% 67.25%
KLAC KLA Corporation 89.80B 0.22%
670.25 -1.81% 49.27% 67.56%
MFC.TO MANULIFE FINANCIAL CORP 0.22%
8306.T MITSUBISHI UFJ FINANCIAL GROUP INC 0.22%
005930.KS SAMSUNG ELECTRONICS LTD 0.21%
EIX Edison International 32.69B 0.21%
84.64 -1.54% 25.96% 64.03%
C Citigroup Inc. 122.04B 0.21%
63.97 -0.44% 29.89% 31.52%
INTU Intuit Inc. 170.76B 0.21%
609.23 -0.03% 31.76% 26.95%
BKNG Booking Holdings Inc. 146.53B 0.21%
4,370.77 0.77% 33.72% 79.08%
MMC Marsh & McLennan Companies, Inc. 111.59B 0.20%
226.92 -0.43% 19.95% 48.24%
WMB The Williams Companies, Inc. 62.82B 0.20%
51.54 0.33% 25.48% 74.52%
ROP Roper Technologies, Inc. 60.43B 0.20%
563.74 0.51% 23.96% 81.08%
LOW Lowe's Companies, Inc. 159.59B 0.20%
281.31 -0.96% 25.97% 25.15%
2882.TW CATHAY FINANCIAL HOLDING LTD 0.20%
BSX Boston Scientific Corporation 127.26B 0.20%
86.42 -0.67% 31.36% 83.56%
6758.T SONY GROUP CORP 0.19%
Total holdings: 1057 Recognized Stocks: 422 Recognized ETFs: 3 Others: 632
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