ETF constituents for FALN

Below, a list of constituents for FALN (iShares Fallen Angels USD Bond ETF) is shown. In total, FALN consists of 155 securities.

Note: The data shown here is as of date Nov 07, 2025 (the latest that can be sourced directly from the fund provider).

Click here to go back to the full list of ETFs.

Name Sector Asset Class Market Value Weight (%) ISIN Duration Maturity Coupon (%)
VODAFONE GROUP PLC Communications Fixed Income 52915764.59 3.03 US92857WBQ24 2.82 Apr 04, 2079 7.0
DRESDNER FUNDING TRUST I 144A Banking Fixed Income 38691890.96 2.21 US26156FAA12 3.23 Jun 30, 2031 8.15
GFL ENVIRONMENTAL INC 144A Capital Goods Fixed Income 36323013.35 2.08 US36168QAQ73 2.2 Jan 15, 2031 6.75
RESORTS WORLD LAS VEGAS LLC RegS Consumer Cyclical Fixed Income 30881390.73 1.77 USU76198AA52 3.13 Apr 16, 2029 4.63
PACIFICORP Electric Fixed Income 29551028.48 1.69 US695114DF26 3.86 Sep 15, 2055 7.38
ROGERS COMMUNICATIONS INC 144A Communications Fixed Income 25710015.22 1.47 US775109BS95 1.25 Mar 15, 2082 5.25
UNITED RENTALS (NORTH AMERICA) INC Capital Goods Fixed Income 25681855.75 1.47 US911365BM59 1.89 Nov 15, 2027 3.88
PERRIGO FINANCE UNLIMITED CO Consumer Non-Cyclical Fixed Income 25050110.99 1.43 US71429MAC91 3.97 Jun 15, 2030 4.9
SPIRIT AEROSYSTEMS INC Capital Goods Fixed Income 24464759.09 1.4 US85205TAK60 2.27 Jun 15, 2028 4.6
METHANEX CORPORATION Basic Industry Fixed Income 24348160.46 1.39 US59151KAL26 3.52 Dec 15, 2029 5.25
HUNTSMAN INTERNATIONAL LLC Basic Industry Fixed Income 24300722.78 1.39 US44701QBE17 3.16 May 01, 2029 4.5
VF CORPORATION Consumer Cyclical Fixed Income 20769288.29 1.19 US918204BC10 4.1 Apr 23, 2030 2.95
FLUOR CORPORATION Industrial Other Fixed Income 20455502.69 1.17 US343412AF90 2.56 Sep 15, 2028 4.25
HORIZON MUTUAL HOLDINGS INC 144A Insurance Fixed Income 20410858.78 1.17 US43990FAA66 6.63 Nov 15, 2034 6.2
BOMBARDIER INC 144A Capital Goods Fixed Income 19465390.29 1.11 US097751AL51 6.4 May 01, 2034 7.45
EMBARQ LLC Communications Fixed Income 19438731.28 1.11 US29078EAA38 4.92 Jun 01, 2036 8.0
TRANSOCEAN INTERNATIONAL LTD Energy Fixed Income 18562636.09 1.06 US893830AT68 7.95 Mar 15, 2038 6.8
NAVIENT CORP MTN Finance Companies Fixed Income 18317802.65 1.05 US78442FAZ18 6.04 Aug 01, 2033 5.63
NEWELL BRANDS INC Consumer Non-Cyclical Fixed Income 18298982.75 1.05 US651229AY21 9.51 Apr 01, 2046 7.5
NISSAN MOTOR CO LTD 144A Consumer Cyclical Fixed Income 18295762.26 1.05 US654744AC50 1.74 Sep 17, 2027 4.34
APTIV SWISS HOLDINGS LTD Consumer Cyclical Fixed Income 17788015.75 1.02 US03837AAD28 3.49 Dec 15, 2054 6.88
BUCKEYE PARTNERS LP Energy Fixed Income 17717878.91 1.01 US118230AQ44 0.97 Dec 01, 2026 3.95
LIBERTY MUTUAL GROUP INC 144A Insurance Fixed Income 17646152.12 1.01 US53079EAN40 7.71 Mar 15, 2037 7.8
NISSAN MOTOR CO LTD 144A Consumer Cyclical Fixed Income 17394657.35 1.0 US654744AD34 4.23 Sep 17, 2030 4.81
NORDSTROM INC Consumer Cyclical Fixed Income 17381775.04 0.99 US655664AR15 10.45 Jan 15, 2044 5.0
ROCKIES EXPRESS PIPELINE LLC 144A Energy Fixed Income 17243610.63 0.99 US77340RAR84 3.22 Jul 15, 2029 4.95
SEALED AIR CORPORATION 144A Capital Goods Fixed Income 16980318.69 0.97 US81211KAK60 5.92 Jul 15, 2033 6.88
ALCOA NEDERLAND HOLDING BV 144A Basic Industry Fixed Income 16783815.57 0.96 US013822AG68 2.61 Mar 31, 2029 4.13
DIVERSIFIED HEALTHCARE TRUST Reits Fixed Income 16422449.46 0.94 US81721MAM10 2.1 Feb 15, 2028 4.75
ROCKIES EXPRESS PIPELINE LLC 144A Energy Fixed Income 16387831.42 0.94 US77340RAM97 9.1 Apr 15, 2040 6.88
STEELCASE INC. Industrial Other Fixed Income 15788343.96 0.9 US858155AE40 2.83 Jan 18, 2029 5.13
HUDSON PACIFIC PROPERTIES LP Reits Fixed Income 15564501.78 0.89 US44409MAB28 3.09 Apr 01, 2029 4.65
ADVANCE AUTO PARTS INC Consumer Cyclical Fixed Income 15521882.81 0.89 US00751YAE68 4.0 Apr 15, 2030 3.9
BRANDYWINE OPERATING PARTNERSHIP L Reits Fixed Income 15512908.87 0.89 US105340AQ63 1.84 Nov 15, 2027 3.95
VF CORPORATION Consumer Cyclical Fixed Income 15228522.86 0.87 US918204BB37 1.4 Apr 23, 2027 2.8
TRAVEL + LEISURE CO Consumer Cyclical Fixed Income 13943528.44 0.8 US98310WAN83 1.12 Apr 01, 2027 6.0
TELECOM ITALIA CAPITAL SA Communications Fixed Income 13908818.58 0.8 US87927VAV09 8.03 Jun 04, 2038 7.72
SERVICE PROPERTIES TRUST Reits Fixed Income 13848218.52 0.79 US44106MAW29 1.05 Feb 15, 2027 4.95
TENET HEALTHCARE CORP Consumer Non-Cyclical Fixed Income 13756949.39 0.79 US88033GAV23 4.83 Nov 15, 2031 6.88
TELECOM ITALIA CAPITAL SA Communications Fixed Income 13601012.8 0.78 US87927VAR96 7.43 Jul 18, 2036 7.2
TOLEDO HOSPITAL Consumer Non-Cyclical Fixed Income 13469501.2 0.77 US889184AE73 11.62 Nov 15, 2048 6.01
KOHLS CORP Consumer Cyclical Fixed Income 13326521.9 0.76 US500255AX28 4.65 May 01, 2031 5.13
NEWELL BRANDS INC Consumer Non-Cyclical Fixed Income 13267856.81 0.76 US651229AX48 7.01 Apr 01, 2036 7.38
WHIRLPOOL CORPORATION Consumer Non-Cyclical Fixed Income 13148832.9 0.75 US963320AW61 2.95 Feb 26, 2029 4.75
TELECOM ITALIA CAPITAL SA Communications Fixed Income 13126408.74 0.75 US87927VAF58 6.12 Nov 15, 2033 6.38
YUM! BRANDS INC. Consumer Cyclical Fixed Income 13082617.49 0.75 US988498AD34 8.11 Nov 15, 2037 6.88
SERVICE PROPERTIES TRUST Reits Fixed Income 13066251.53 0.75 US44106MAX02 2.05 Jan 15, 2028 3.95
WILTON RE LTD 144A Insurance Fixed Income 13052002.52 0.75 US97263CAA99 2.74 Dec 31, 2079 6.0
HUDSON PACIFIC PROPERTIES LP Reits Fixed Income 12994651.06 0.74 US44409MAA45 1.88 Nov 01, 2027 3.95
TRANSOCEAN INTERNATIONAL LTD Energy Fixed Income 12869584.74 0.74 US893830AF64 4.42 Apr 15, 2031 7.5
BRANDYWINE OPERATING PARTNERSHIP L Reits Fixed Income 12776673.85 0.73 US105340AR47 2.06 Mar 15, 2028 8.3
CELANESE US HOLDINGS LLC Basic Industry Fixed Income 12713276.06 0.73 US15089QAM69 1.49 Jul 15, 2027 6.67
SERVICE PROPERTIES TRUST Reits Fixed Income 12588551.56 0.72 US44106MBB72 3.47 Oct 01, 2029 4.95
TELECOM ITALIA CAPITAL SA Communications Fixed Income 12411090.43 0.71 US87927VAM00 6.84 Sep 30, 2034 6.0
LUMEN TECHNOLOGIES INC Communications Fixed Income 12064924.15 0.69 US156700AM80 8.37 Sep 15, 2039 7.6
CROWN CORK & SEAL CO INC Capital Goods Fixed Income 12002389.44 0.69 US228255AH83 1.03 Dec 15, 2026 7.38
BUCKEYE PARTNERS LP Energy Fixed Income 11850875.49 0.68 US118230AM30 10.34 Nov 15, 2043 5.85
BUCKEYE PARTNERS LP Energy Fixed Income 11739783.73 0.67 US118230AR27 1.85 Dec 01, 2027 4.13
HUDSON PACIFIC PROPERTIES LP Reits Fixed Income 11691394.79 0.67 US44409MAC01 3.8 Jan 15, 2030 3.25
CONSTELLATION INSURANCE INC 144A Insurance Fixed Income 11652171.63 0.67 US67740QAH92 3.51 Jan 24, 2030 6.8
HUDSON PACIFIC PROPERTIES LP Reits Fixed Income 11630541.78 0.67 US44409MAD83 2.08 Feb 15, 2028 5.95
HUNTSMAN INTERNATIONAL LLC Basic Industry Fixed Income 11582303.6 0.66 US44701QBF81 4.98 Jun 15, 2031 2.95
SERVICE PROPERTIES TRUST Reits Fixed Income 11461360.9 0.66 US44106MAY84 3.78 Feb 15, 2030 4.38
MACYS RETAIL HOLDINGS LLC Consumer Cyclical Fixed Income 11438179.19 0.65 US55616XAM92 7.1 Dec 15, 2034 4.5
TOLEDO HOSPITAL Consumer Non-Cyclical Fixed Income 11408297.59 0.65 US889184AC18 2.71 Nov 15, 2028 5.33
BRANDYWINE OPERATING PARTNERSHIP L Reits Fixed Income 11393960.51 0.65 US105340AP80 3.49 Oct 01, 2029 4.55
ADVANCE AUTO PARTS INC Consumer Cyclical Fixed Income 11117872.78 0.64 US00751YAF34 1.83 Oct 01, 2027 1.75
NORDSTROM INC Consumer Cyclical Fixed Income 11080638.99 0.63 US655664AT70 3.91 Apr 01, 2030 4.38
ROCKIES EXPRESS PIPELINE LLC 144A Energy Fixed Income 11005472.51 0.63 US77340RAT41 3.88 May 15, 2030 4.8
FRONTIER FLORIDA LLC Communications Fixed Income 10924134.24 0.62 US362333AH94 2.03 Feb 01, 2028 6.86
XPO CNW INC Transportation Fixed Income 10904950.18 0.62 US12612WAB00 6.51 May 01, 2034 6.7
VORNADO REALTY LP Reits Fixed Income 10875379.51 0.62 US929043AL12 4.89 Jun 01, 2031 3.4
HUNTSMAN INTERNATIONAL LLC Basic Industry Fixed Income 10773533.16 0.62 US44701QBG64 6.8 Oct 15, 2034 5.7
TRANSALTA CORP Electric Fixed Income 10481049.03 0.6 US89346DAE76 9.17 Mar 15, 2040 6.5
ADVANCE AUTO PARTS INC Consumer Cyclical Fixed Income 10467677.77 0.6 US00751YAJ55 2.1 Mar 09, 2028 5.95
RESORTS WORLD LAS VEGAS LLC 144A Consumer Cyclical Fixed Income 10299640.65 0.59 US76120HAC16 4.67 Apr 06, 2031 4.63
ADVANCE AUTO PARTS INC Consumer Cyclical Fixed Income 10248001.17 0.59 US00751YAG17 5.53 Mar 15, 2032 3.5
SAFEWAY INC Consumer Non-Cyclical Fixed Income 10183278.44 0.58 US786514BA67 4.32 Feb 01, 2031 7.25
LUMEN TECHNOLOGIES INC Communications Fixed Income 10175785.89 0.58 US156700AT34 9.09 Mar 15, 2042 7.65
MURPHY OIL CORPORATION Energy Fixed Income 10142420.79 0.58 US626717AG73 9.69 Dec 01, 2042 6.13
HB FULLER CO Basic Industry Fixed Income 10114924.32 0.58 US359694AB24 1.2 Feb 15, 2027 4.0
UNITED STATES STEEL CORP Basic Industry Fixed Income 10109856.35 0.58 US912909AD03 7.89 Jun 01, 2037 6.65
BATH & BODY WORKS INC Consumer Cyclical Fixed Income 10070196.91 0.58 US532716AK37 5.68 Mar 01, 2033 6.95
KOHLS CORP Consumer Cyclical Fixed Income 9778251.64 0.56 US500255AV61 9.66 Jul 17, 2045 5.55
WARNERMEDIA HOLDINGS INC Communications Fixed Income 9477531.53 0.54 US55903VBC63 5.4 Mar 15, 2032 4.28
METHANEX CORPORATION Basic Industry Fixed Income 9159244.07 0.52 US59151KAJ79 10.53 Dec 01, 2044 5.65
NORDSTROM INC Consumer Cyclical Fixed Income 9145821.61 0.52 US655664AY65 4.93 Aug 01, 2031 4.25
YUM! BRANDS INC. Consumer Cyclical Fixed Income 8965064.68 0.51 US988498AK76 11.16 Nov 01, 2043 5.35
BUCKEYE PARTNERS LP Energy Fixed Income 8959736.17 0.51 US118230AP60 11.03 Oct 15, 2044 5.6
ROCKIES EXPRESS PIPELINE LLC 144A Energy Fixed Income 8917444.66 0.51 US77340RAD98 8.14 Jul 15, 2038 7.5
PROSPECT CAPITAL CORP Finance Companies Fixed Income 8855090.08 0.51 US74348TAV44 0.97 Nov 15, 2026 3.36
CELANESE US HOLDINGS LLC Basic Industry Fixed Income 8755018.45 0.5 US15089QAW42 2.6 Nov 15, 2028 6.85
BELO CORPORATION Communications Fixed Income 8717145.87 0.5 US080555AF20 1.72 Sep 15, 2027 7.25
GENWORTH FINANCIAL INC Insurance Fixed Income 8626088.51 0.49 US37247DAB29 6.43 Jun 15, 2034 6.5
CELANESE US HOLDINGS LLC Basic Industry Fixed Income 8611143.73 0.49 US15089QAY08 5.87 Nov 15, 2033 7.2
CELANESE US HOLDINGS LLC Basic Industry Fixed Income 8498935.57 0.49 US15089QAX25 4.05 Nov 15, 2030 7.05
PERRIGO FINANCE UNLIMITED CO Consumer Non-Cyclical Fixed Income 8454655.96 0.48 US714295AA08 10.96 Dec 15, 2044 4.9
VF CORPORATION Consumer Cyclical Fixed Income 8388641.62 0.48 US918204AR97 6.24 Oct 15, 2033 6.0
VF CORPORATION Consumer Cyclical Fixed Income 8313376.39 0.48 US918204AT53 8.14 Nov 01, 2037 6.45
CELANESE US HOLDINGS LLC Basic Industry Fixed Income 8296137.6 0.47 US15089QAP90 5.23 Jul 15, 2032 6.88
GLOBAL MARINE INC. Energy Fixed Income 8269335.1 0.47 US379352AL15 2.27 Jun 01, 2028 7.0
CRANE NXT CO Technology Fixed Income 8173595.08 0.47 US224399AT28 12.17 Mar 15, 2048 4.2
TOLEDO HOSPITAL THE Consumer Non-Cyclical Fixed Income 8146035.92 0.47 US889184AA51 11.35 Nov 15, 2045 4.98
PROSPECT CAPITAL CORP Finance Companies Fixed Income 8097121.04 0.46 US74348TAW27 2.75 Oct 15, 2028 3.44
NORDSTROM INC Consumer Cyclical Fixed Income 8004370.91 0.46 US655664AS97 1.27 Mar 15, 2027 4.0
WARNERMEDIA HOLDINGS INC Communications Fixed Income 7823383.08 0.45 US55903VBW28 10.13 Mar 15, 2042 5.05
PROVIDENT FINANCING TRUST I Insurance Fixed Income 7790180.79 0.45 US743863AA09 8.17 Mar 15, 2038 7.41
ALCOA NEDERLAND HOLDING BV 144A Basic Industry Fixed Income 7537020.47 0.43 US013822AC54 0.94 May 15, 2028 6.13
BELO CORPORATION Communications Fixed Income 7415662.87 0.42 US080555AE54 1.42 Jun 01, 2027 7.75
CARNIVAL CORPORATION Consumer Cyclical Fixed Income 7379729.16 0.42 US143658AH53 2.0 Jan 15, 2028 6.65
WHIRLPOOL CORPORATION Consumer Non-Cyclical Fixed Income 7361560.92 0.42 US963320AV88 11.54 Jun 01, 2046 4.5
NORDSTROM INC Consumer Cyclical Fixed Income 7345348.59 0.42 US655664AH33 2.15 Mar 15, 2028 6.95
FRONTIER NORTH INC Communications Fixed Income 7330396.3 0.42 US362337AK38 2.07 Feb 15, 2028 6.73
BATH & BODY WORKS INC Consumer Cyclical Fixed Income 7189530.96 0.41 US532716AN75 7.64 Jul 15, 2037 7.6
CRANE CO Technology Fixed Income 7150442.68 0.41 US224399AP06 7.71 Nov 15, 2036 6.55
WHIRLPOOL CORPORATION Consumer Non-Cyclical Fixed Income 7115108.35 0.41 US963320AX45 12.23 May 15, 2050 4.6
MACYS RETAIL HOLDINGS LLC Consumer Cyclical Fixed Income 7098389.15 0.41 US55616XAG25 9.97 Jan 15, 2042 5.13
CLEVELAND-CLIFFS INC Basic Industry Fixed Income 6857562.69 0.39 US18683KAC53 9.0 Oct 01, 2040 6.25
CELANESE US HOLDINGS LLC Basic Industry Fixed Income 6391072.82 0.37 US15089QAN43 3.13 Jul 15, 2029 6.83
CONSTELLATION INSURANCE INC 144A Insurance Fixed Income 6314753.01 0.36 US67740QAG10 4.57 May 01, 2031 6.63
MACYS INC Consumer Cyclical Fixed Income 6289479.28 0.36 US314275AC25 7.82 Mar 15, 2037 6.38
MACYS RETAIL HOLDINGS LLC Consumer Cyclical Fixed Income 6274387.35 0.36 US55616XAJ63 10.77 Feb 15, 2043 4.3
QVC INC Consumer Cyclical Fixed Income 6085644.56 0.35 US747262AW35 5.71 Aug 15, 2034 5.45
MACYS RETAIL HOLDINGS LLC 144A Consumer Cyclical Fixed Income 5947085.82 0.34 US55617LAL62 6.36 Jul 15, 2034 6.7
GOODYEAR TIRE & RUBBER COMPANY (TH Consumer Cyclical Fixed Income 5592249.0 0.32 US382550AD35 2.15 Mar 15, 2028 7.0
NISSAN MOTOR ACCEPTANCE COMPANY LL MTN 144A Consumer Cyclical Fixed Income 5505008.28 0.31 US65480CAF23 2.51 Sep 15, 2028 7.05
UNITED AIRLINES INC Transportation Fixed Income 5485755.01 0.31 US90932DAA37 2.49 Apr 07, 2030 3.1
WHIRLPOOL CORPORATION Consumer Non-Cyclical Fixed Income 5471791.96 0.31 US963320BC98 6.41 Mar 01, 2034 5.75
WHIRLPOOL CORPORATION Consumer Non-Cyclical Fixed Income 5436621.08 0.31 US963320BA33 5.84 Mar 01, 2033 5.5
WHIRLPOOL CORPORATION Consumer Non-Cyclical Fixed Income 5240472.22 0.3 US963320AZ92 5.36 May 14, 2032 4.7
WHIRLPOOL CORPORATION Consumer Non-Cyclical Fixed Income 4801958.66 0.27 US963320AY28 4.98 May 15, 2031 2.4
QVC INC Consumer Cyclical Fixed Income 4434154.43 0.25 US747262AM52 7.09 Mar 15, 2043 5.95
XEROX CORPORATION Technology Fixed Income 4403704.96 0.25 US984121CB79 5.22 Dec 15, 2039 6.75
NISSAN MOTOR ACCEPTANCE COMPANY LL 144A Consumer Cyclical Fixed Income 4340098.72 0.25 US654740BT54 2.22 Mar 09, 2028 2.75
WHIRLPOOL CORPORATION MTN Consumer Non-Cyclical Fixed Income 3994957.17 0.23 US96332HCG20 10.48 Mar 01, 2043 5.15
SEAGATE DATA STORAGE TECHNOLOGY PT 144A Technology Fixed Income 3662132.47 0.21 US81180LAS43 6.76 Dec 01, 2034 5.75
DISCOVERY COMMUNICATIONS LLC Communications Fixed Income 3627072.04 0.21 US25470DAD12 8.73 Jun 01, 2040 6.35
T-MOBILE USA INC Communications Fixed Income 3367629.99 0.19 US87264ADV44 6.2 Dec 15, 2033 6.7
BUCKEYE PARTNERS L.P. Energy Fixed Income 3114684.83 0.18 US118230AC57 5.97 Aug 15, 2033 6.75
TOPAZ SOLAR FARMS LLC 144A Electric Fixed Income 3026409.21 0.17 US89054XAC92 5.59 Sep 30, 2039 5.75
NISSAN MOTOR ACCEPTANCE COMPANY LL MTN 144A Consumer Cyclical Fixed Income 3019950.65 0.17 US65480CAG06 1.73 Sep 13, 2027 5.3
BLK CSH FND TREASURY SL AGENCY Cash and/or Derivatives Money Market 2970000.0 0.17 US0669224778 0.1 nan 3.87
XEROX CORPORATION Technology Fixed Income 2515253.09 0.14 US984121CL51 5.45 Mar 01, 2035 4.8
NISSAN MOTOR ACCEPTANCE COMPANY LL MTN 144A Consumer Cyclical Fixed Income 2458881.95 0.14 US65480CAD74 2.7 Sep 15, 2028 2.45
NISSAN MOTOR ACCEPTANCE COMPANY LL MTN 144A Consumer Cyclical Fixed Income 2321050.47 0.13 US65480CAH88 3.4 Sep 13, 2029 5.55
SEAGATE DATA STORAGE TECHNOLOGY PT 144A Technology Fixed Income 1432465.31 0.08 US81180LAN55 4.52 Jan 15, 2031 4.13
WARNERMEDIA HOLDINGS INC Communications Fixed Income 1388334.18 0.08 US55903VBL62 1.26 Mar 15, 2027 3.75
WARNERMEDIA HOLDINGS INC Communications Fixed Income 1343568.05 0.08 US55903VBD47 9.72 Mar 15, 2042 5.05
SEAGATE HDD CAYMAN Technology Fixed Income 1292528.77 0.07 US81180WAN11 6.76 Dec 01, 2034 5.75
LIBERTY INTERACTIVE LLC Consumer Cyclical Fixed Income 1272294.45 0.07 US530715AJ01 1.21 Feb 01, 2030 8.25
WARNERMEDIA HOLDINGS INC Communications Fixed Income 851276.37 0.05 US55903VBQ59 5.41 Mar 15, 2032 4.28
LIBERTY INTERACTIVE LLC Consumer Cyclical Fixed Income 778620.15 0.04 US530715AD31 1.17 Jul 15, 2029 8.5
WARNERMEDIA HOLDINGS INC Communications Fixed Income 389293.7 0.02 US55903VBA08 1.29 Mar 15, 2027 3.75
USD CASH Cash and/or Derivatives Cash -61584.98 0.0 nan 0.0 nan 0.0
The content contained herein is owned or licensed by BlackRock and/or its third-party information providers and is protected by applicable copyrights, trademarks, service marks, and/or other intellectual property rights. Such content is solely for your personal, non-commercial use. Accordingly, you may not copy, distribute, modify, post, frame or deep link this content. You may download material displayed on this Website for your personal use provided you also retain all copyright and other proprietary notices contained on the materials. Modification or use of the materials for any other purpose violates BlackRock's intellectual property rights. Holdings subject to change. See www.iShares.com for the most recent funds holdings. The values for “price” shown herein generally represent a price provided by a third-party pricing vendor for the portfolio holding and do not reflect the impact of systematic fair valuation (“the vendor price”). The vendor price is not necessarily the price at which the Fund values the portfolio holding for the purposes of determining its net asset value (the “valuation price”). Additionally, where applicable, foreign currency exchange rates with respect to the portfolio holdings denominated in non-U.S. currencies for the valuation price will be generally determined as of the close of business on the New York Stock Exchange, whereas for the vendor price will be generally determined as of 4 p.m. London. The values shown herein for “market value,” “weight,” and “notional value” (the “calculated values”) are based off of the vendor price and may have been different if the valuation price were to have been used to calculate such values. The vendor price is as of the most recent practicable date and may not necessarily be as of the date shown above. Please see the “Determination of Net Asset Value” section of each Fund’s prospectus for additional information on the Fund’s valuation policies and procedures. CAREFULLY CONSIDER THE FUNDS' INVESTMENT OBJECTIVES, RISK FACTORS, AND CHARGES AND EXPENSES BEFORE INVESTING. THIS AND OTHER INFORMATION CAN BE FOUND IN THE FUNDS' PROSPECTUSES OR, IF AVAILABLE, THE SUMMARY PROSPECTUSES WHICH MAY BE OBTAINED BY VISITING WWW.ISHARES.COM OR WWW.BLACKROCK.COM. READ THE PROSPECTUS CAREFULLY BEFORE INVESTING. INVESTING INVOLVES RISK, INCLUDING POSSIBLE LOSS OF PRINCIPAL. This information should not be relied upon as research, investment advice, or a recommendation regarding any products, strategies, or any security in particular. This material is strictly for illustrative, educational, or informational purposes and is subject to change. The Funds are distributed by BlackRock Investments, LLC (together with its affiliates, “BlackRock”). The iShares Funds are not sponsored, endorsed, issued, sold or promoted by Bloomberg, BlackRock Index Services, LLC, Cboe Global Indices, LLC, Cohen & Steers, European Public Real Estate Association (“EPRA® ”), FTSE International Limited (“FTSE”), ICE Data Indices, LLC, NSE Indices Ltd, JPMorgan, JPX Group, London Stock Exchange Group (“LSEG”), MSCI Inc., Markit Indices Limited, Morningstar, Inc., Nasdaq, Inc., National Association of Real Estate Investment Trusts (“NAREIT”), Nikkei, Inc., Russell, S&P Dow Jones Indices LLC or STOXX Ltd. None of these companies make any representation regarding the advisability of investing in the Funds. With the exception of BlackRock Index Services, LLC, who is an affiliate, BlackRock Investments, LLC is not affiliated with the companies listed above. Neither FTSE, LSEG, nor NAREIT makes any warranty regarding the FTSE Nareit Equity REITS Index, FTSE Nareit All Residential Capped Index or FTSE Nareit All Mortgage Capped Index. Neither FTSE, EPRA, LSEG, nor NAREIT makes any warranty regarding the FTSE EPRA Nareit Developed ex-U.S. Index, FTSE EPRA Nareit Developed Green Target Index or FTSE EPRA Nareit Global REITs Index. “FTSE®” is a trademark of London Stock Exchange Group companies and is used by FTSE under license. ©2023 BlackRock, Inc or its affiliates. All rights reserved. iSHARES, iBONDS and BLACKROCK are trademarks of BlackRock, Inc. or its affiliates. All other trademarks are those of their respective owners. nan nan nan nan nan nan nan nan