BlackRock-advised Funds > iShares Trust

iShares S&P 500 Growth ETF

Exchange-Traded Fund Index Fund
Series ID: S000004311
LEI: 549300RYFG0B8O3DPR13
SEC CIK: 1100663
$34.97B Avg Monthly Net Assets
$52.97B Total Assets
$243.48M Total Liabilities
$52.72B Net Assets
iShares S&P 500 Growth ETF is an Exchange-Traded Fund in iShares Trust from BlackRock-advised Funds, based in California, United States of America. The fund has one share class and monthly net assets of $34.97B. On August 26th, 2024 it reported 234 holdings, the largest being Microsoft Corp (12.6%), NVIDIA Corp (11.5%) and Apple Inc (11.5%). Data provided by Fincoded.

Share Classes

Name Class/Contract ID Exchange Ticker Monthly Returns (2 years)
iShares S&P 500 Growth ETF C000012041 ARCX IVW Jun 22Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 23Sep 23Oct 23Nov 23Dec 23Jan 24Feb 24Mar 24Apr 24May 2412.80% (Max)-9.99% (Min)

Holdings

From latest NPORT-P, filed August 26th, 2024 for period ending June 30th, 2024. Historic holdings data available from Fincoded.
Name Profile Category Country Value $USD # Shares % of Fund
A O Smith Corp Long Equity-common US $12M 152K 0.02
AbbVie Inc Long Equity-common US $223M 1M 0.42
Accenture PLC Long Equity-common IE $205M 677K 0.39
Adobe Inc Long Equity-common US $496M 893K 0.94
Advanced Micro Devices Inc Long Equity-common US $523M 3M 0.99
Airbnb Inc Long Equity-common US $67M 440K 0.13
Akamai Technologies Inc Long Equity-common US $13M 144K 0.02
Align Technology Inc Long Equity-common US $19M 77K 0.04
Allegion plc Long Equity-common IE $8M 67K 0.02
Alphabet Inc Long Equity-common US $2B 12M 4.05
Alphabet Inc Long Equity-common US $2B 10M 3.39
Amazon.com Inc Long Equity-common US $4B 18M 6.69
American Express Co Long Equity-common US $184M 793K 0.35
American Tower Corp Long Equity-common US $74M 382K 0.14
Ameriprise Financial Inc Long Equity-common US $45M 105K 0.09
AMETEK Inc Long Equity-common US $37M 220K 0.07
Amphenol Corp Long Equity-common US $90M 1M 0.17
Analog Devices Inc Long Equity-common US $133M 583K 0.25
ANSYS Inc Long Equity-common US $32M 100K 0.06
Aon PLC Long Equity-common US $65M 221K 0.12
APA Corp Long Equity-common US $21M 722K 0.04
Apple Inc Long Equity-common US $6B 29M 11.48
Applied Materials Inc Long Equity-common US $391M 2M 0.74
Arch Capital Group Ltd Long Equity-common BM $75M 742K 0.14
Arista Networks Inc Long Equity-common US $177M 506K 0.34
Arthur J Gallagher & Co Long Equity-common US $58M 222K 0.11
Autodesk Inc Long Equity-common US $55M 222K 0.10
Automatic Data Processing Inc Long Equity-common US $76M 318K 0.14
AutoZone Inc Long Equity-common US $70M 24K 0.13
Axon Enterprise Inc Long Equity-common US $41M 140K 0.08
BLACKROCK CASH FUNDS Long Short-term investment vehicle US $67M 67M 0.13
BLACKROCK GLOBAL Long Short-term investment vehicle US $236M 236M 0.45
Blackstone Inc Long Equity-common US $127M 1M 0.24
Boeing Co/The Long Equity-common US $92M 505K 0.17
Booking Holdings Inc Long Equity-common US $268M 68K 0.51
Boston Scientific Corp Long Equity-common US $124M 2M 0.24
Broadcom Inc Long Equity-common US $1B 868K 2.64
Broadridge Financial Solutions Inc Long Equity-common US $27M 135K 0.05
Brown & Brown Inc Long Equity-common US $33M 369K 0.06
Builders FirstSource Inc Long Equity-common US $34M 243K 0.06
Cadence Design Systems Inc Long Equity-common US $167M 543K 0.32
Caesars Entertainment Inc Long Equity-common US $10M 251K 0.02
Carnival Corp Long Equity-common US $27M 1M 0.05
Carrier Global Corp Long Equity-common US $51M 802K 0.10
Caterpillar Inc Long Equity-common US $188M 565K 0.36
Cboe Global Markets Inc Long Equity-common US $23M 134K 0.04
CDW Corp/DE Long Equity-common US $25M 113K 0.05
Celanese Corp Long Equity-common US $27M 202K 0.05
CF Industries Holdings Inc Long Equity-common US $15M 197K 0.03
Charter Communications Inc Long Equity-common US $27M 90K 0.05
Chipotle Mexican Grill Inc Long Equity-common US $172M 3M 0.33
Church & Dwight Co Inc Long Equity-common US $23M 224K 0.04
Cintas Corp Long Equity-common US $66M 95K 0.13
CME Group Inc Long Equity-common US $51M 258K 0.10
Coca-Cola Co/The Long Equity-common US $192M 3M 0.36
Colgate-Palmolive Co Long Equity-common US $62M 638K 0.12
ConocoPhillips Long Equity-common US $184M 2M 0.35
Constellation Energy Corp Long Equity-common US $57M 283K 0.11
Cooper Cos Inc/The Long Equity-common US $15M 167K 0.03
Copart Inc Long Equity-common US $95M 2M 0.18
Corpay Inc Long Equity-common US $37M 140K 0.07
CoStar Group Inc Long Equity-common US $26M 353K 0.05
Costco Wholesale Corp Long Equity-common US $316M 371K 0.60
Coterra Energy Inc Long Equity-common US $26M 979K 0.05
Crowdstrike Holdings Inc Long Equity-common US $176M 460K 0.33
CSX Corp Long Equity-common US $65M 2M 0.12
Darden Restaurants Inc Long Equity-common US $19M 124K 0.04
DaVita Inc Long Equity-common US $8M 57K 0.01
Dayforce Inc Long Equity-common US $9M 172K 0.02
Deckers Outdoor Corp Long Equity-common US $50M 51K 0.09
Deere & Co Long Equity-common US $110M 294K 0.21
Delta Air Lines Inc Long Equity-common US $34M 718K 0.06
Dexcom Inc Long Equity-common US $55M 484K 0.10
Diamondback Energy Inc Long Equity-common US $71M 356K 0.14
Digital Realty Trust Inc Long Equity-common US $40M 265K 0.08
Discover Financial Services Long Equity-common US $35M 270K 0.07
Domino's Pizza Inc Long Equity-common US $14M 27K 0.03
DR Horton Inc Long Equity-common US $83M 591K 0.16
E-MINI RUSS 1000 (CHICAGO MERCANTILE EXCHANGE INC.) Derivative-equity US $244K 0.00
Eaton Corp PLC Long Equity-common US $155M 495K 0.29
Ecolab Inc Long Equity-common US $61M 258K 0.12
Edwards Lifesciences Corp Long Equity-common US $41M 444K 0.08
Electronic Arts Inc Long Equity-common US $30M 215K 0.06
Eli Lilly & Co Long Equity-common US $1B 2M 2.73
Enphase Energy Inc Long Equity-common US $10M 102K 0.02
EOG Resources Inc Long Equity-common US $95M 756K 0.18
EPAM Systems Inc Long Equity-common US $9M 46K 0.02
Equifax Inc Long Equity-common US $23M 96K 0.04
Equinix Inc Long Equity-common US $67M 89K 0.13
Etsy Inc Long Equity-common US $6M 105K 0.01
Expedia Group Inc Long Equity-common US $32M 253K 0.06
Expeditors International of Washington Inc Long Equity-common US $13M 104K 0.02
FactSet Research Systems Inc Long Equity-common US $15M 36K 0.03
Fair Isaac Corp Long Equity-common US $73M 49K 0.14
Fastenal Co Long Equity-common US $36M 570K 0.07
Fiserv Inc Long Equity-common US $90M 607K 0.17
Fortinet Inc Long Equity-common US $76M 1M 0.14
Fortive Corp Long Equity-common US $52M 703K 0.10
Freeport-McMoRan Inc Long Equity-common US $70M 1M 0.13
Garmin Ltd Long Equity-common CH $27M 167K 0.05
Gartner Inc Long Equity-common US $69M 155K 0.13
GE Vernova Inc Long Equity-common US $40M 234K 0.08
Generac Holdings Inc Long Equity-common US $10M 74K 0.02
General Electric Co Long Equity-common US $149M 935K 0.28
GoDaddy Inc Long Equity-common US $39M 281K 0.07
HCA Healthcare Inc Long Equity-common US $60M 185K 0.11
Hershey Co/The Long Equity-common US $21M 112K 0.04
Hess Corp Long Equity-common US $81M 551K 0.15
Hilton Worldwide Holdings Inc Long Equity-common US $109M 498K 0.21
Home Depot Inc/The Long Equity-common US $252M 731K 0.48
Host Hotels & Resorts Inc Long Equity-common US $15M 850K 0.03
Howmet Aerospace Inc Long Equity-common US $35M 448K 0.07
Hubbell Inc Long Equity-common US $18M 49K 0.03
IDEXX Laboratories Inc Long Equity-common US $45M 92K 0.09
Illinois Tool Works Inc Long Equity-common US $59M 249K 0.11
Ingersoll Rand Inc Long Equity-common US $56M 619K 0.11
Insulet Corp Long Equity-common US $11M 54K 0.02
Intuit Inc Long Equity-common US $367M 558K 0.70
Intuitive Surgical Inc Long Equity-common US $207M 466K 0.39
IQVIA Holdings Inc Long Equity-common US $29M 139K 0.06
Iron Mountain Inc Long Equity-common US $27M 299K 0.05
Jabil Inc Long Equity-common US $14M 130K 0.03
KKR & Co Inc Long Equity-common US $140M 1M 0.26
KLA Corp Long Equity-common US $221M 268K 0.42
Lam Research Corp Long Equity-common US $278M 261K 0.53
Lamb Weston Holdings Inc Long Equity-common US $16M 190K 0.03
Las Vegas Sands Corp Long Equity-common US $20M 444K 0.04
Lennar Corp Long Equity-common US $41M 273K 0.08
Linde PLC Long Equity-common US $219M 498K 0.41
Live Nation Entertainment Inc Long Equity-common US $27M 285K 0.05
Lululemon Athletica Inc Long Equity-common CA $68M 228K 0.13
Marathon Oil Corp Long Equity-common US $17M 596K 0.03
Marathon Petroleum Corp Long Equity-common US $67M 386K 0.13
Marriott International Inc/MD Long Equity-common US $116M 478K 0.22
Marsh & McLennan Cos Inc Long Equity-common US $108M 512K 0.20
Martin Marietta Materials Inc Long Equity-common US $44M 81K 0.08
Masco Corp Long Equity-common US $16M 238K 0.03
Mastercard Inc Long Equity-common US $520M 1M 0.99
McDonald's Corp Long Equity-common US $161M 632K 0.31
Merck & Co Inc Long Equity-common US $250M 2M 0.47
Meta Platforms Inc Long Equity-common US $2B 4M 4.18
Mettler-Toledo International Inc Long Equity-common US $22M 16K 0.04
MGM Resorts International Long Equity-common US $15M 340K 0.03
Microchip Technology Inc Long Equity-common US $58M 636K 0.11
Microsoft Corp Long Equity-common US $7B 15M 12.56
Molina Healthcare Inc Long Equity-common US $20M 68K 0.04
Mondelez International Inc Long Equity-common US $73M 1M 0.14
Monolithic Power Systems Inc Long Equity-common US $80M 97K 0.15
Monster Beverage Corp Long Equity-common US $43M 852K 0.08
Moody's Corp Long Equity-common US $62M 147K 0.12
Motorola Solutions Inc Long Equity-common US $74M 193K 0.14
MSCI Inc Long Equity-common US $43M 90K 0.08
NetApp Inc Long Equity-common US $20M 152K 0.04
Netflix Inc Long Equity-common US $580M 859K 1.10
NIKE Inc Long Equity-common US $78M 1M 0.15
Norwegian Cruise Line Holdings Ltd Long Equity-common US $16M 854K 0.03
Nucor Corp Long Equity-common US $48M 301K 0.09
NVIDIA Corp Long Equity-common US $6B 49M 11.49
NVR Inc Long Equity-common US $47M 6K 0.09
NXP Semiconductors NV Long Equity-common NL $103M 382K 0.20
O'Reilly Automotive Inc Long Equity-common US $90M 86K 0.17
Old Dominion Freight Line Inc Long Equity-common US $63M 355K 0.12
ON Semiconductor Corp Long Equity-common US $26M 376K 0.05
ONEOK Inc Long Equity-common US $59M 721K 0.11
Oracle Corp Long Equity-common US $449M 3M 0.85
Otis Worldwide Corp Long Equity-common US $30M 314K 0.06
PACCAR Inc Long Equity-common US $79M 764K 0.15
Palo Alto Networks Inc Long Equity-common US $218M 644K 0.41
Parker-Hannifin Corp Long Equity-common US $101M 200K 0.19
Paychex Inc Long Equity-common US $30M 256K 0.06
Paycom Software Inc Long Equity-common US $6M 42K 0.01
Pentair PLC Long Equity-common GB $18M 232K 0.03
PepsiCo Inc Long Equity-common US $163M 987K 0.31
Philip Morris International Inc Long Equity-common US $116M 1M 0.22
Pool Corp Long Equity-common US $13M 44K 0.03
Procter & Gamble Co/The Long Equity-common US $303M 2M 0.57
Progressive Corp/The Long Equity-common US $121M 585K 0.23
PTC Inc Long Equity-common US $26M 144K 0.05
Public Storage Long Equity-common US $38M 133K 0.07
PulteGroup Inc Long Equity-common US $46M 419K 0.09
QUALCOMM Inc Long Equity-common US $231M 1M 0.44
Quanta Services Inc Long Equity-common US $51M 201K 0.10
Ralph Lauren Corp Long Equity-common US $8M 43K 0.01
Regeneron Pharmaceuticals Inc Long Equity-common US $133M 127K 0.25
Republic Services Inc Long Equity-common US $45M 232K 0.09
Rockwell Automation Inc Long Equity-common US $30M 109K 0.06
Rollins Inc Long Equity-common US $12M 242K 0.02
Roper Technologies Inc Long Equity-common US $52M 92K 0.10
Ross Stores Inc Long Equity-common US $97M 668K 0.18
Royal Caribbean Cruises Ltd Long Equity-common US $75M 471K 0.14
S&P Global Inc Long Equity-common US $125M 281K 0.24
Salesforce Inc Long Equity-common US $498M 2M 0.94
SBA Communications Corp Long Equity-common US $17M 86K 0.03
Seagate Technology Holdings PLC Long Equity-common US $17M 160K 0.03
ServiceNow Inc Long Equity-common US $321M 409K 0.61
Sherwin-Williams Co/The Long Equity-common US $69M 233K 0.13
Simon Property Group Inc Long Equity-common US $36M 240K 0.07
Snap-on Inc Long Equity-common US $12M 47K 0.02
Starbucks Corp Long Equity-common US $104M 1M 0.20
Steel Dynamics Inc Long Equity-common US $24M 186K 0.05
STERIS PLC Long Equity-common US $24M 110K 0.05
Stryker Corp Long Equity-common US $147M 433K 0.28
Super Micro Computer Inc Long Equity-common US $82M 100K 0.16
Synopsys Inc Long Equity-common US $181M 304K 0.34
Take-Two Interactive Software Inc Long Equity-common US $25M 159K 0.05
Targa Resources Corp Long Equity-common US $57M 442K 0.11
TE Connectivity Ltd Long Equity-common US $36M 238K 0.07
Tesla Inc Long Equity-common US $1B 6M 2.08
Texas Instruments Inc Long Equity-common US $131M 673K 0.25
Thermo Fisher Scientific Inc Long Equity-common US $160M 289K 0.30
TJX Cos Inc/The Long Equity-common US $162M 1M 0.31
Tractor Supply Co Long Equity-common US $24M 90K 0.05
Trane Technologies PLC Long Equity-common IE $102M 311K 0.19
TransDigm Group Inc Long Equity-common US $142M 111K 0.27
Tyler Technologies Inc Long Equity-common US $42M 84K 0.08
Uber Technologies Inc Long Equity-common US $303M 4M 0.57
Ulta Beauty Inc Long Equity-common US $24M 63K 0.05
Union Pacific Corp Long Equity-common US $124M 547K 0.23
United Rentals Inc Long Equity-common US $86M 133K 0.16
UnitedHealth Group Inc Long Equity-common US $355M 697K 0.67
VeriSign Inc Long Equity-common US $15M 83K 0.03
Verisk Analytics Inc Long Equity-common US $42M 156K 0.08
Vertex Pharmaceuticals Inc Long Equity-common US $154M 329K 0.29
Visa Inc Long Equity-common US $544M 2M 1.03
Vistra Corp Long Equity-common US $56M 651K 0.11
Vulcan Materials Co Long Equity-common US $42M 169K 0.08
Waste Management Inc Long Equity-common US $73M 342K 0.14
Waters Corp Long Equity-common US $13M 44K 0.02
West Pharmaceutical Services Inc Long Equity-common US $48M 145K 0.09
Williams Cos Inc/The Long Equity-common US $40M 948K 0.08
WW Grainger Inc Long Equity-common US $59M 65K 0.11
Wynn Resorts Ltd Long Equity-common US $17M 188K 0.03
Yum! Brands Inc Long Equity-common US $34M 259K 0.07
Zoetis Inc Long Equity-common US $87M 500K 0.16

Address

iShares Trust
400 Howard Street
San Francisco
California
94105
United States of America

Directors

John E. Kerrigan
Richard L. Fagnani
Robert S. Kapito
Drew E. Lawton
Stephen Cohen
John E. Martinez
Madhav V. Rajan
Jane D. Carlin
Cecilia H. Herbert

Transfer Agents

Citibank, N.A.

Pricing Services

Refinitiv US Holdings Inc.
ICE Data Services, Inc.
Bloomberg L.P.

Custodians

Citibank, N.A.
SG Americas Securities, LLC

Shareholder Servicing Agents

N/A

Admins

Citi Fund Services Ohio, Inc.

Brokers

Barclays Capital Inc.
Morgan Stanley & Co. LLC
Jefferies LLC
J.P. Morgan Securities LLC
UBS Securities LLC
BNP Paribas Securities Corp.
Goldman Sachs & Co. LLC
Merrill Lynch, Pierce, Fenner & Smith Incorporated
CASTLE OAK SECURITIES, L.P.
Instinet, LLC