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IWC | iShares Micro-Cap ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
CORZ Core Scientific, Inc. 5.02B 0.63%
17.97 4.11% 71.45% 13.30%
SRRK Scholar Rock Holding Corporation 2.45B 0.52%
26.21 -5.94% 102.55% 25.49%
LBPH Longboard Pharmaceuticals, Inc. 2.33B 0.48%
59.76 -0.02% 40.47% 0.88%
MNKD MannKind Corporation 1.90B 0.45%
6.88 0.00% 40.17% 26.64%
SOUN SoundHound AI, Inc. 2.62B 0.45%
7.08 9.87% 110.29% 17.75%
OCUL Ocular Therapeutix, Inc. 1.35B 0.44%
8.62 -1.84% 106.68% 32.80%
OSW OneSpaWorld Holdings Limited 1.96B 0.44%
18.81 -0.05% 60.25% 36.00%
NRIX Nurix Therapeutics, Inc. 1.63B 0.42%
23.05 1.81% 109.05% 20.87%
VSEC VSE Corporation 2.35B 0.41%
115.15 0.30% 42.41% 41.75%
AGX Argan, Inc. 2.07B 0.40%
153.70 4.65% 79.69% 84.80%
WULF TeraWulf Inc. 2.76B 0.40%
7.15 -0.70% 115.99% 7.36%
MIRM Mirum Pharmaceuticals, Inc. 2.09B 0.39%
43.59 -0.24% 70.33% 34.30%
TARS Tarsus Pharmaceuticals, Inc. 1.80B 0.36%
47.13 1.17% 100.37% 76.76%
VRDN Viridian Therapeutics, Inc. 1.61B 0.36%
20.30 2.58% 79.85% 14.61%
REVG REV Group, Inc. 1.54B 0.36%
29.57 1.23% 54.11% 63.98%
HROW Harrow Health, Inc. 1.56B 0.36%
43.86 3.35% 62.68% 15.17%
COMM CommScope Holding Company, Inc. 974.69M 0.35%
4.52 4.03% 95.35% 4.61%
HUT.TO HUT CORP 0.35%
NIC Nicolet Bankshares, Inc. 1.69B 0.34%
110.84 1.24% 8.66% 24.21%
BLBD Blue Bird Corporation 1.31B 0.34%
40.42 2.85% 76.03% 67.44%
STEL Stellar Bancorp, Inc. 1.60B 0.34%
29.93 1.87% 85.35% 67.53%
QCRH QCR Holdings, Inc. 1.54B 0.33%
91.41 2.35% 30.20% 12.79%
NX Quanex Building Products Corporation 1.42B 0.33%
30.07 1.18% 73.47% 58.25%
LEU Centrus Energy Corp. 1.24B 0.33%
78.79 4.86% 96.62% 75.65%
PRDO Perdoceo Education Corporation 1.76B 0.32%
26.80 1.40% 53.27% 42.65%
CRAI CRA International, Inc. 1.29B 0.32%
190.90 -0.89% 17.77% 15.16%
PRAX Praxis Precision Medicines, Inc. 1.37B 0.31%
73.49 -0.26% 75.44% 14.24%
NTST NETSTREIT Corp. 1.32B 0.30%
16.15 1.06% 73.39% 21.04%
UMH UMH Properties, Inc. 1.51B 0.30%
19.15 0.00% 20.00% 38.60%
UUUU Energy Fuels Inc. 1.39B 0.30%
7.07 1.80% 66.40% 41.36%
VITL Vital Farms, Inc. 1.32B 0.29%
30.24 0.37% 50.65% 18.35%
COCO The Vita Coco Company, Inc. 2.09B 0.29%
36.83 0.08% 50.26% 43.48%
GABC German American Bancorp, Inc. 1.35B 0.29%
45.32 0.85% 21.22% 9.71%
WVE Wave Life Sciences Ltd. 2.26B 0.29%
14.85 4.14% 71.94% 2.68%
CDNA CareDx, Inc 1.20B 0.29%
22.39 0.09% 92.59% 27.05%
COLL Collegium Pharmaceutical, Inc. 981.21M 0.29%
30.43 1.42% 86.51% 65.85%
ASPN Aspen Aerogels, Inc. 1.15B 0.28%
13.99 0.07% 74.58% 39.58%
TPC Tutor Perini Corporation 1.50B 0.28%
28.68 -0.49% 77.81% 32.79%
SCSC ScanSource, Inc. 1.19B 0.28%
50.09 1.93% 69.37% 51.83%
WINA Winmark Corporation 1.40B 0.27%
397.09 0.42% N/A N/A
DCOM Dime Community Bancshares, Inc. 1.53B 0.27%
35.08 1.12% 52.56% 33.22%
PEBO Peoples Bancorp Inc. 1.26B 0.27%
35.40 1.75% 5.33% 48.04%
COGT Cogent Biosciences, Inc. 1.02B 0.27%
9.25 1.87% 309.93% 38.56%
DGII Digi International Inc. 1.16B 0.27%
31.72 0.54% 48.99% 49.39%
SOC Sable Offshore Corp. 2.03B 0.27%
22.74 2.90% 92.62% 45.62%
TRNS Transcat, Inc. 980.92M 0.27%
106.63 3.70% 37.00% 15.07%
FBRT Franklin BSP Realty Trust, Inc. 1.05B 0.27%
12.82 -0.08% 29.69% 49.03%
CAL Caleres, Inc. 1.07B 0.26%
30.50 2.52% 61.13% 101.96%
AORT Artivion, Inc. 1.16B 0.26%
27.78 2.25% 29.26% 12.98%
ARLO Arlo Technologies, Inc. 1.20B 0.26%
11.97 2.13% 38.94% 18.47%
FBMS The First Bancshares, Inc. 1.15B 0.26%
36.87 2.73% 67.87% 56.83%
TILE Interface, Inc. 1.49B 0.26%
25.49 0.08% 88.86% 27.31%
KNSA Kiniksa Pharmaceuticals, Ltd. 1.52B 0.26%
21.02 -0.90% 152.93% 30.17%
ATEN A10 Networks, Inc. 1.23B 0.26%
16.67 1.15% 63.13% 45.60%
EFC Ellington Financial Inc. 1.12B 0.26%
12.36 0.57% 43.49% 52.97%
CIFR Cipher Mining Inc. 2.24B 0.25%
6.44 -1.07% 125.67% 17.60%
ELVN Enliven Therapeutics, Inc. 1.24B 0.25%
25.43 0.00% 35.37% 15.10%
QNST QuinStreet, Inc. 1.24B 0.25%
22.11 1.66% 47.09% 29.92%
WTTR Select Energy Services, Inc. 1.50B 0.24%
14.57 2.61% 70.55% 22.18%
APLD Applied Digital Corporation 1.99B 0.24%
9.25 5.59% 123.14% 54.99%
CDRE Cadre Holdings, Inc. 1.33B 0.24%
32.88 1.37% 56.34% 22.90%
HCI HCI Group, Inc. 1.16B 0.24%
110.12 1.96% 29.05% 38.92%
BV BrightView Holdings, Inc. 1.59B 0.24%
16.70 6.10% 87.08% 32.23%
PNTG The Pennant Group, Inc. 1.06B 0.24%
30.97 0.62% 46.87% 43.99%
PFBC Preferred Bank 1.27B 0.24%
94.58 1.61% 15.00% 14.44%
BBSI Barrett Business Services, Inc. 1.11B 0.24%
42.69 0.80% 79.52% 85.45%
UTL Unitil Corporation 977.99M 0.24%
60.41 1.92% 55.24% 62.74%
0HHU.L ARMOUR RESIDENTIAL REIT INC 0.23%
BZH Beazer Homes USA, Inc. 1.03B 0.23%
33.18 1.58% 39.07% 18.07%
CMCO Columbus McKinnon Corporation 1.06B 0.23%
36.97 2.68% 39.76% 35.15%
OBNK ORIGIN BANCORP INC 0.23%
DX Dynex Capital, Inc. 987.33M 0.23%
12.45 0.32% 42.30% 26.47%
IE Ivanhoe Electric Inc. 1.13B 0.23%
9.38 3.30% 84.49% 36.70%
ICHR Ichor Holdings, Ltd. 1.08B 0.23%
32.09 3.18% 47.82% 56.49%
THR Thermon Group Holdings, Inc. 1.05B 0.23%
31.27 1.38% 103.21% 67.62%
GDYN Grid Dynamics Holdings, Inc. 1.44B 0.23%
17.42 3.60% 44.73% 4.40%
BFC Bank First Corporation 1.06B 0.23%
105.97 3.13% N/A N/A
BLX Banco Latinoamericano de Comercio Exteri... 1.16B 0.23%
33.77 1.02% 44.18% 36.07%
IRON Disc Medicine, Inc. 1.90B 0.23%
63.89 2.14% 64.60% 13.55%
AVBP ArriVent BioPharma, Inc. Common Stock 927.98M 0.22%
27.63 0.80% N/A N/A
CNOB ConnectOne Bancorp, Inc. 1.04B 0.22%
27.10 1.96% 83.01% 39.18%
EOLS Evolus, Inc. 818.75M 0.22%
12.93 2.38% 58.21% 89.77%
FIP FTAI Infrastructure Inc. 967.40M 0.22%
8.51 -0.06% 54.43% 13.64%
BXC BlueLinx Holdings Inc. 1.05B 0.22%
124.92 2.98% 34.44% 30.22%
FMBH First Mid Bancshares, Inc. 1.01B 0.22%
42.30 2.25% 52.61% 68.21%
BHRB BURKE HERBERT FINANCIAL SERVICES T 0.22%
HOV Hovnanian Enterprises, Inc. 1.08B 0.22%
177.81 3.41% 100.51% 59.43%
PFC Premier Financial Corp. 1.01B 0.22%
28.30 2.89% 87.56% 56.11%
BY Byline Bancorp, Inc. 1.39B 0.22%
31.39 1.49% 102.71% 93.64%
NN NextNav Inc. 2.02B 0.21%
15.70 2.28% 89.10% 25.07%
AOSL Alpha and Omega Semiconductor Limited 1.09B 0.21%
37.60 23.68% 49.82% 27.52%
DCO Ducommun Incorporated 965.83M 0.21%
65.35 0.34% 18.93% 53.21%
AMSC American Superconductor Corporation 1.37B 0.21%
34.85 11.85% 91.78% 55.56%
CSTL Castle Biosciences, Inc. 810.95M 0.21%
28.96 1.78% 80.76% 17.80%
CGEM Cullinan Oncology, Inc. 716.20M 0.21%
12.30 -2.23% 63.64% 51.64%
APLT Applied Therapeutics, Inc. 1.11B 0.21%
9.51 0.90% 247.38% 53.35%
UVSP Univest Financial Corporation 902.91M 0.21%
31.09 2.10% 72.03% 70.42%
VTOL Bristow Group Inc. 1.08B 0.21%
37.76 0.67% 108.01% 52.22%
BLFS BioLife Solutions, Inc. 1.19B 0.20%
25.73 2.88% 61.14% 45.74%
GCI Gannett Co., Inc. 762.85M 0.20%
5.18 3.50% 71.61% 10.84%
Total holdings: 1439 Recognized Stocks: 1347 Others: 92
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