Titelia

Portefeuille d'iShares ESG Select Screened S&P Small-Cap ETF

iShares Trust ·548 positions déclarées · au 31 mars 2026

Document d'origine · Actif net 121,9 M $ · Dix premières lignes : 5.7 % de la poche actions

Répartition par secteur

  • Non attribué 100,0 %

Classification Titelia, société par société. La part non attribuée reste affichée.

Répartition par devise

  • USD 100,0 %

Devise de cotation de chaque ligne, telle que déclarée.

Répartition par pays

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

Parts calculées sur la poche actions.

PaysLignesValeurPart
US533115,7 M $96,77 %
GB21,1 M $0,91 %
BM4846,6 k $0,71 %
IE2679,5 k $0,57 %
PR3587,7 k $0,49 %
MH2387,2 k $0,32 %
KY2269 k $0,23 %

Positions

SociétéTitresValeurPoids
Bank of Hawaii Corp 3 202237,7 k $0,20 %
Acushnet Holdings Corp 2 531236,6 k $0,19 %
Trinity Industries Inc 7 324235,7 k $0,19 %
Artisan Partners Asset Management Inc 6 470235,4 k $0,19 %
Ingevity Corp 3 303235,3 k $0,19 %
Hawaiian Electric Industries Inc 15 852235,2 k $0,19 %
Veracyte Inc 7 257233,7 k $0,19 %
Apple Hospitality REIT Inc 20 199232,5 k $0,19 %
Robert Half Inc 9 127231,8 k $0,19 %
Cheesecake Factory Inc/The 4 210230,5 k $0,19 %
Acadia Realty Trust 12 031230 k $0,19 %
Urban Edge Properties 11 504229,8 k $0,19 %
St Joe Co/The 3 657229,7 k $0,19 %
Curbline Properties Corp 8 901229,6 k $0,19 %
Trustmark Corp 5 390227,1 k $0,19 %
Steven Madden Ltd 6 673226,3 k $0,19 %
CVB Financial Corp 11 639225,7 k $0,19 %
Provident Financial Services Inc 10 533222,9 k $0,18 %
RXO Inc 15 088220,6 k $0,18 %
Andersons Inc/The 3 069220,3 k $0,18 %
Teradata Corp 8 558219,3 k $0,18 %
Privia Health Group Inc 10 618218,4 k $0,18 %
Photronics Inc 5 395218 k $0,18 %
Banc of California Inc 12 262215,6 k $0,18 %
Highwoods Properties Inc 10 041215 k $0,18 %
Mercury General Corp 2 428214 k $0,18 %
First Bancorp/Southern Pines NC 3 788213,5 k $0,18 %
HNI Corp 6 369212,7 k $0,17 %
GEO Group Inc/The 12 488209,9 k $0,17 %
Medical Properties Trust Inc 45 317209,8 k $0,17 %
Sarepta Therapeutics Inc 9 571208,3 k $0,17 %
Verra Mobility Corp 14 574208,3 k $0,17 %
LeMaitre Vascular Inc 1 906208,1 k $0,17 %
ABM Industries Inc 5 384207,4 k $0,17 %
BancFirst Corp 1 911207,3 k $0,17 %
Vishay Intertechnology Inc 11 349204,3 k $0,17 %
NBT Bancorp Inc 4 778203,4 k $0,17 %
DNOW Inc 17 062203,2 k $0,17 %
Kinetik Holdings Inc 4 179202,3 k $0,17 %
Northwest Natural Holding Co 3 792201,8 k $0,17 %
Minerals Technologies Inc 2 844201,7 k $0,17 %
Bancorp Inc/The 3 752201,6 k $0,17 %
ArcBest Corp 2 041200,8 k $0,16 %
NetScout Systems Inc 6 306200,5 k $0,16 %
Knowles Corp 7 804200,4 k $0,16 %
H2O America 3 412200,2 k $0,16 %
Cleanspark Inc 23 482199,8 k $0,16 %
Hub Group Inc 5 534199,4 k $0,16 %
WaFd Inc 6 341199,1 k $0,16 %
CSG Systems International Inc 2 482198,4 k $0,16 %
Acadia Healthcare Co Inc 8 479198,3 k $0,16 %
Chefs' Warehouse Inc/The 3 328197,8 k $0,16 %
Alarm.com Holdings Inc 4 556196,8 k $0,16 %
FMC Corp 11 411196,5 k $0,16 %
ADMA Biologics Inc 21 782196,3 k $0,16 %
DXC Technology Co 15 506194,9 k $0,16 %
Customers Bancorp Inc 2 790193,7 k $0,16 %
SPS Commerce Inc 3 466193 k $0,16 %
Amneal Pharmaceuticals Inc 15 506192,7 k $0,16 %
FB Financial Corp 3 710192,7 k $0,16 %
ACM Research Inc 4 866191,5 k $0,16 %
Insight Enterprises Inc 2 849190,9 k $0,16 %
National Vision Holdings Inc 7 289188,8 k $0,15 %
Veeco Instruments Inc 5 507186,5 k $0,15 %
Banner Corp 3 059185,6 k $0,15 %
Extreme Networks Inc 12 264184,9 k $0,15 %
Neogen Corp 19 869184,6 k $0,15 %
Benchmark Electronics Inc 3 259182,7 k $0,15 %
National HealthCare Corp 1 141182,2 k $0,15 %
Perdoceo Education Corp 4 868181,1 k $0,15 %
ePlus Inc 2 389179,8 k $0,15 %
Green Brick Partners Inc 2 786179,6 k $0,15 %
Callaway Golf Co 12 765177,2 k $0,15 %
Kaiser Aluminum Corp 1 466176,7 k $0,14 %
Strategic Education Inc 2 123176,1 k $0,14 %
Enerpac Tool Group Corp 4 821175,8 k $0,14 %
Penn Entertainment Inc 11 634174,9 k $0,14 %
DiamondRock Hospitality Co 18 606174,3 k $0,14 %
ARMOUR Residential REIT Inc 10 221170,5 k $0,14 %
Stewart Information Services Corp 2 760170 k $0,14 %
Northwest Bancshares Inc 13 345169,3 k $0,14 %
Bread Financial Holdings Inc 2 260169,3 k $0,14 %
BlackLine Inc 4 565168,9 k $0,14 %
Global Net Lease Inc 18 009168,6 k $0,14 %
Arcus Biosciences Inc 7 743167,2 k $0,14 %
Six Flags Entertainment Corp 9 341165,8 k $0,14 %
Agilysys Inc 2 330165,8 k $0,14 %
Pediatrix Medical Group Inc 7 748165,7 k $0,14 %
Digi International Inc 3 435165,6 k $0,14 %
Innospec Inc 2 263165,2 k $0,14 %
Rogers Corp 1 539165,2 k $0,14 %
EVERTEC Inc 5 844164,9 k $0,14 %
Marriott Vacations Worldwide Corp 2 529164,7 k $0,14 %
First Commonwealth Financial Corp 9 362164,6 k $0,14 %
Select Medical Holdings Corp 10 066164 k $0,13 %
Alamo Group Inc 993163,8 k $0,13 %
Pathward Financial Inc 1 833163,6 k $0,13 %
DXP Enterprises Inc/TX 1 169163,3 k $0,13 %
LTC Properties Inc 4 382162,8 k $0,13 %
Werner Enterprises Inc 5 512162,1 k $0,13 %