Titelia

Portfolio von iShares ESG Select Screened S&P Small-Cap ETF

iShares Trust ·548 gemeldete Positionen · zum 31.03.2026

Originalmeldung · Nettovermögen 121,9 Mio. $ · Zehn größte Positionen: 5.7 % des Aktienteils

Aufteilung nach Branche

  • Nicht zugeordnet 100,0 %

Einstufung von Titelia, Gesellschaft für Gesellschaft. Der nicht zugeordnete Anteil bleibt sichtbar.

Aufteilung nach Währung

  • USD 100,0 %

Die gemeldete Notierungswährung jeder Position.

Länderaufteilung

  • US 96,8 %
  • GB 0,9 %
  • BM 0,7 %
  • IE 0,6 %
  • PR 0,5 %
  • MH 0,3 %
  • KY 0,2 %

Anteile berechnet auf den Aktienteil.

RangLandPositionenWertAnteil
1US533115,7 Mio. $96,77 %
2GB21,1 Mio. $0,91 %
3BM4846.643,8 $0,71 %
4IE2679.478,1 $0,57 %
5PR3587.667,8 $0,49 %
6MH2387.196,2 $0,32 %
7KY2269.023,2 $0,23 %

Positionen

RangGesellschaftStückeWertGewicht
201Bank of Hawaii Corp 3.202237.748,5 $0,20 %
202Acushnet Holdings Corp 2.531236.597,9 $0,19 %
203Trinity Industries Inc 7.324235.686,3 $0,19 %
204Artisan Partners Asset Management Inc 6.470235.443,3 $0,19 %
205Ingevity Corp 3.303235.272,7 $0,19 %
206Hawaiian Electric Industries Inc 15.852235.243,7 $0,19 %
207Veracyte Inc 7.257233.748 $0,19 %
208Apple Hospitality REIT Inc 20.199232.490,5 $0,19 %
209Robert Half Inc 9.127231.825,8 $0,19 %
210Cheesecake Factory Inc/The 4.210230.497,5 $0,19 %
211Acadia Realty Trust 12.031230.032,7 $0,19 %
212Urban Edge Properties 11.504229.849,9 $0,19 %
213St Joe Co/The 3.657229.659,6 $0,19 %
214Curbline Properties Corp 8.901229.556,8 $0,19 %
215Trustmark Corp 5.390227.134,6 $0,19 %
216Steven Madden Ltd 6.673226.348,2 $0,19 %
217CVB Financial Corp 11.639225.680,2 $0,19 %
218Provident Financial Services Inc 10.533222.878,3 $0,18 %
219RXO Inc 15.088220.586,6 $0,18 %
220Andersons Inc/The 3.069220.292,8 $0,18 %
221Teradata Corp 8.558219.341,5 $0,18 %
222Privia Health Group Inc 10.618218.412,3 $0,18 %
223Photronics Inc 5.395218.012 $0,18 %
224Banc of California Inc 12.262215.566 $0,18 %
225Highwoods Properties Inc 10.041214.977,8 $0,18 %
226Mercury General Corp 2.428214.028,2 $0,18 %
227First Bancorp/Southern Pines NC 3.788213.453,8 $0,18 %
228HNI Corp 6.369212.660,9 $0,17 %
229GEO Group Inc/The 12.488209.923,3 $0,17 %
230Medical Properties Trust Inc 45.317209.817,7 $0,17 %
231Sarepta Therapeutics Inc 9.571208.265 $0,17 %
232Verra Mobility Corp 14.574208.262,5 $0,17 %
233LeMaitre Vascular Inc 1.906208.078 $0,17 %
234ABM Industries Inc 5.384207.391,7 $0,17 %
235BancFirst Corp 1.911207.343,5 $0,17 %
236Vishay Intertechnology Inc 11.349204.282 $0,17 %
237NBT Bancorp Inc 4.778203.447,2 $0,17 %
238DNOW Inc 17.062203.208,4 $0,17 %
239Kinetik Holdings Inc 4.179202.305,4 $0,17 %
240Northwest Natural Holding Co 3.792201.810,2 $0,17 %
241Minerals Technologies Inc 2.844201.696,5 $0,17 %
242Bancorp Inc/The 3.752201.595 $0,17 %
243ArcBest Corp 2.041200.752,8 $0,16 %
244NetScout Systems Inc 6.306200.467,7 $0,16 %
245Knowles Corp 7.804200.406,7 $0,16 %
246H2O America 3.412200.182 $0,16 %
247Cleanspark Inc 23.482199.831,8 $0,16 %
248Hub Group Inc 5.534199.445,4 $0,16 %
249WaFd Inc 6.341199.107,4 $0,16 %
250CSG Systems International Inc 2.482198.411,1 $0,16 %
251Acadia Healthcare Co Inc 8.479198.323,8 $0,16 %
252Chefs' Warehouse Inc/The 3.328197.849,6 $0,16 %
253Alarm.com Holdings Inc 4.556196.773,6 $0,16 %
254FMC Corp 11.411196.497,4 $0,16 %
255ADMA Biologics Inc 21.782196.255,8 $0,16 %
256DXC Technology Co 15.506194.910,4 $0,16 %
257Customers Bancorp Inc 2.790193.653,9 $0,16 %
258SPS Commerce Inc 3.466192.952,2 $0,16 %
259Amneal Pharmaceuticals Inc 15.506192.739,6 $0,16 %
260FB Financial Corp 3.710192.697,4 $0,16 %
261ACM Research Inc 4.866191.477,1 $0,16 %
262Insight Enterprises Inc 2.849190.911,5 $0,16 %
263National Vision Holdings Inc 7.289188.785,1 $0,15 %
264Veeco Instruments Inc 5.507186.467 $0,15 %
265Banner Corp 3.059185.620,1 $0,15 %
266Extreme Networks Inc 12.264184.941,1 $0,15 %
267Neogen Corp 19.869184.583 $0,15 %
268Benchmark Electronics Inc 3.259182.699,5 $0,15 %
269National HealthCare Corp 1.141182.217,7 $0,15 %
270Perdoceo Education Corp 4.868181.138,3 $0,15 %
271ePlus Inc 2.389179.772,3 $0,15 %
272Green Brick Partners Inc 2.786179.557,7 $0,15 %
273Callaway Golf Co 12.765177.178,2 $0,15 %
274Kaiser Aluminum Corp 1.466176.667,7 $0,14 %
275Strategic Education Inc 2.123176.124,1 $0,14 %
276Enerpac Tool Group Corp 4.821175.821,9 $0,14 %
277Penn Entertainment Inc 11.634174.859 $0,14 %
278DiamondRock Hospitality Co 18.606174.338,2 $0,14 %
279ARMOUR Residential REIT Inc 10.221170.486,3 $0,14 %
280Stewart Information Services Corp 2.760169.960,8 $0,14 %
281Northwest Bancshares Inc 13.345169.348,1 $0,14 %
282Bread Financial Holdings Inc 2.260169.251,4 $0,14 %
283BlackLine Inc 4.565168.905 $0,14 %
284Global Net Lease Inc 18.009168.564,2 $0,14 %
285Arcus Biosciences Inc 7.743167.248,8 $0,14 %
286Six Flags Entertainment Corp 9.341165.802,8 $0,14 %
287Agilysys Inc 2.330165.756,2 $0,14 %
288Pediatrix Medical Group Inc 7.748165.729,7 $0,14 %
289Digi International Inc 3.435165.567 $0,14 %
290Innospec Inc 2.263165.244,3 $0,14 %
291Rogers Corp 1.539165.180,9 $0,14 %
292EVERTEC Inc 5.844164.917,7 $0,14 %
293Marriott Vacations Worldwide Corp 2.529164.688,5 $0,14 %
294First Commonwealth Financial Corp 9.362164.584 $0,14 %
295Select Medical Holdings Corp 10.066163.975,1 $0,13 %
296Alamo Group Inc 993163.815,2 $0,13 %
297Pathward Financial Inc 1.833163.558,6 $0,13 %
298DXP Enterprises Inc/TX 1.169163.344,4 $0,13 %
299LTC Properties Inc 4.382162.835,1 $0,13 %
300Werner Enterprises Inc 5.512162.107,9 $0,13 %