ETF constituents for IWX

Below, a list of constituents for IWX (iShares Russell Top 200 Value ETF) is shown. In total, IWX consists of 157 securities.

Note: The data shown here is as of date Jun 30, 2025 (the latest that can be sourced directly from the fund provider).

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

Ticker Name Sector Asset Class Market Value Weight (%)
BRKB BERKSHIRE HATHAWAY INC CLASS B Financials Equity 124802741.05 4.61
JPM JPMORGAN CHASE & CO Financials Equity 116765504.9 4.31
AMZN AMAZON COM INC Consumer Discretionary Equity 84604072.08 3.13
XOM EXXON MOBIL CORP Energy Equity 66602407.16 2.46
JNJ JOHNSON & JOHNSON Health Care Equity 59240106.94 2.19
WMT WALMART INC Consumer Staples Equity 58408425.92 2.16
GOOGL ALPHABET INC CLASS A Communication Equity 58382267.88 2.16
PG PROCTER & GAMBLE Consumer Staples Equity 51811744.14 1.91
GOOG ALPHABET INC CLASS C Communication Equity 47738724.84 1.76
META META PLATFORMS INC CLASS A Communication Equity 43380434.07 1.6
CVX CHEVRON CORP Energy Equity 42345727.04 1.56
BAC BANK OF AMERICA CORP Financials Equity 41380436.04 1.53
CSCO CISCO SYSTEMS INC Information Technology Equity 39751870.86 1.47
PM PHILIP MORRIS INTERNATIONAL INC Consumer Staples Equity 37543359.76 1.39
WFC WELLS FARGO Financials Equity 36496645.77 1.35
IBM INTERNATIONAL BUSINESS MACHINES CO Information Technology Equity 33871869.64 1.25
ABT ABBOTT LABORATORIES Health Care Equity 32716264.68 1.21
UNH UNITEDHEALTH GROUP INC Health Care Equity 32273863.36 1.19
LIN LINDE PLC Materials Equity 31949842.2 1.18
GS GOLDMAN SACHS GROUP INC Financials Equity 30132514.98 1.11
DIS WALT DISNEY Communication Equity 30097260.93 1.11
RTX RTX CORP Industrials Equity 30070029.5 1.11
MCD MCDONALDS CORP Consumer Discretionary Equity 29942394.18 1.11
CRM SALESFORCE INC Information Technology Equity 29811197.14 1.1
MRK MERCK & CO INC Health Care Equity 28883748.48 1.07
T AT&T INC Communication Equity 27827137.36 1.03
VZ VERIZON COMMUNICATIONS INC Communication Equity 25810842.75 0.95
CAT CATERPILLAR INC Industrials Equity 25060970.24 0.93
SPGI S&P GLOBAL INC Financials Equity 24925908.48 0.92
BLK BLACKROCK INC Financials Equity 24670929.18 0.91
TMO THERMO FISHER SCIENTIFIC INC Health Care Equity 24466332.12 0.9
PEP PEPSICO INC Consumer Staples Equity 24029068.8 0.89
MS MORGAN STANLEY Financials Equity 23483070.9 0.87
ACN ACCENTURE PLC CLASS A Information Technology Equity 22361278.36 0.83
SCHW CHARLES SCHWAB CORP Financials Equity 21736346.18 0.8
NEE NEXTERA ENERGY INC Utilities Equity 20991645.9 0.78
HON HONEYWELL INTERNATIONAL INC Industrials Equity 20365151.62 0.75
ETN EATON PLC Industrials Equity 20253948.0 0.75
C CITIGROUP INC Financials Equity 20253800.23 0.75
BA BOEING Industrials Equity 20203416.08 0.75
KO COCA-COLA Consumer Staples Equity 19947423.72 0.74
PGR PROGRESSIVE CORP Financials Equity 19880063.84 0.73
PFE PFIZER INC Health Care Equity 19617694.35 0.72
COF CAPITAL ONE FINANCIAL CORP Financials Equity 19309280.4 0.71
LOW LOWES COMPANIES INC Consumer Discretionary Equity 19272895.2 0.71
BSX BOSTON SCIENTIFIC CORP Health Care Equity 18148849.6 0.67
DHR DANAHER CORP Health Care Equity 17967740.54 0.66
DE DEERE Industrials Equity 17967358.2 0.66
UNP UNION PACIFIC CORP Industrials Equity 17921815.4 0.66
QCOM QUALCOMM INC Information Technology Equity 17846732.48 0.66
MU MICRON TECHNOLOGY INC Information Technology Equity 17539143.3 0.65
CMCSA COMCAST CORP CLASS A Communication Equity 17188104.96 0.64
COP CONOCOPHILLIPS Energy Equity 17008683.03 0.63
MDT MEDTRONIC PLC Health Care Equity 16536514.8 0.61
WELL WELLTOWER INC Real Estate Equity 15973816.32 0.59
ADI ANALOG DEVICES INC Information Technology Equity 15800079.86 0.58
AXP AMERICAN EXPRESS Financials Equity 15742824.72 0.58
AMD ADVANCED MICRO DEVICES INC Information Technology Equity 15733250.24 0.58
TMUS T MOBILE US INC Communication Equity 15676086.6 0.58
ICE INTERCONTINENTAL EXCHANGE INC Financials Equity 15480464.05 0.57
MO ALTRIA GROUP INC Consumer Staples Equity 15372351.9 0.57
CEG CONSTELLATION ENERGY CORP Utilities Equity 15297715.08 0.57
SO SOUTHERN Utilities Equity 15054593.4 0.56
AMAT APPLIED MATERIAL INC Information Technology Equity 14953427.88 0.55
CME CME GROUP INC CLASS A Financials Equity 14601783.65 0.54
GILD GILEAD SCIENCES INC Health Care Equity 14483182.68 0.54
CB CHUBB LTD Financials Equity 14480748.78 0.54
TXN TEXAS INSTRUMENT INC Information Technology Equity 14406723.63 0.53
PLD PROLOGIS REIT INC Real Estate Equity 14152171.96 0.52
DUK DUKE ENERGY CORP Utilities Equity 14056575.44 0.52
SYK STRYKER CORP Health Care Equity 13834161.18 0.51
HD HOME DEPOT INC Consumer Discretionary Equity 13221597.6 0.49
MSTR MICROSTRATEGY INC CLASS A Information Technology Equity 13053960.27 0.48
PH PARKER-HANNIFIN CORP Industrials Equity 12947098.36 0.48
INTC INTEL CORPORATION CORP Information Technology Equity 12870872.56 0.48
MMC MARSH & MCLENNAN INC Financials Equity 12800230.3 0.47
SBUX STARBUCKS CORP Consumer Discretionary Equity 12673866.81 0.47
NKE NIKE INC CLASS B Consumer Discretionary Equity 12602291.76 0.47
MDLZ MONDELEZ INTERNATIONAL INC CLASS A Consumer Staples Equity 11604483.06 0.43
CVS CVS HEALTH CORP Health Care Equity 11587064.32 0.43
NOC NORTHROP GRUMMAN CORP Industrials Equity 11527690.98 0.43
GD GENERAL DYNAMICS CORP Industrials Equity 11481700.49 0.42
NEM NEWMONT Materials Equity 10903401.36 0.4
EQIX EQUINIX REIT INC Real Estate Equity 10897754.0 0.4
EMR EMERSON ELECTRIC Industrials Equity 10892259.04 0.4
PNC PNC FINANCIAL SERVICES GROUP INC Financials Equity 10749617.04 0.4
TJX TJX INC Consumer Discretionary Equity 10656639.1 0.39
BMY BRISTOL MYERS SQUIBB Health Care Equity 10643002.02 0.39
KKR KKR AND CO INC Financials Equity 10616775.52 0.39
USB US BANCORP Financials Equity 10012243.12 0.37
JCI JOHNSON CONTROLS INTERNATIONAL PLC Industrials Equity 9967514.76 0.37
MMM 3M Industrials Equity 9835877.12 0.36
AJG ARTHUR J GALLAGHER Financials Equity 9835607.34 0.36
CSX CSX CORP Industrials Equity 9773546.12 0.36
WMB WILLIAMS INC Energy Equity 9753532.56 0.36
PYPL PAYPAL HOLDINGS INC Financials Equity 9751705.08 0.36
CI CIGNA Health Care Equity 9592218.72 0.35
CRH CRH PUBLIC LIMITED PLC Materials Equity 9541961.6 0.35
LMT LOCKHEED MARTIN CORP Industrials Equity 9451464.75 0.35
EOG EOG RESOURCES INC Energy Equity 9311926.71 0.34
APD AIR PRODUCTS AND CHEMICALS INC Materials Equity 9257115.3 0.34
TDG TRANSDIGM GROUP INC Industrials Equity 9221428.82 0.34
NSC NORFOLK SOUTHERN CORP Industrials Equity 9209739.55 0.34
UPS UNITED PARCEL SERVICE INC CLASS B Industrials Equity 9131977.5 0.34
ELV ELEVANCE HEALTH INC Health Care Equity 9008485.2 0.33
AEP AMERICAN ELECTRIC POWER INC Utilities Equity 8747468.73 0.32
MRVL MARVELL TECHNOLOGY INC Information Technology Equity 8730416.52 0.32
TRV TRAVELERS COMPANIES INC Financials Equity 8716686.08 0.32
ROP ROPER TECHNOLOGIES INC Information Technology Equity 8383890.32 0.31
REGN REGENERON PHARMACEUTICALS INC Health Care Equity 8341938.51 0.31
AZO AUTOZONE INC Consumer Discretionary Equity 8263711.2 0.31
FCX FREEPORT MCMORAN INC Materials Equity 8243964.78 0.3
TFC TRUIST FINANCIAL CORP Financials Equity 8118610.61 0.3
FI FISERV INC Financials Equity 7719095.52 0.29
CARR CARRIER GLOBAL CORP Industrials Equity 7673850.47 0.28
SRE SEMPRA Utilities Equity 7653499.95 0.28
D DOMINION ENERGY INC Utilities Equity 7508699.38 0.28
ITW ILLINOIS TOOL INC Industrials Equity 7333112.27 0.27
GM GENERAL MOTORS Consumer Discretionary Equity 7324707.06 0.27
ECL ECOLAB INC Materials Equity 7316463.8 0.27
HCA HCA HEALTHCARE INC Health Care Equity 7294806.45 0.27
PCAR PACCAR INC Industrials Equity 7250559.68 0.27
AFL AFLAC INC Financials Equity 7201396.28 0.27
BDX BECTON DICKINSON Health Care Equity 7125015.66 0.26
FDX FEDEX CORP Industrials Equity 7113020.95 0.26
TGT TARGET CORP Consumer Staples Equity 6917904.99 0.26
RSG REPUBLIC SERVICES INC Industrials Equity 6894141.44 0.25
AIG AMERICAN INTERNATIONAL GROUP INC Financials Equity 6666339.2 0.25
SLB SCHLUMBERGER NV Energy Equity 6538548.52 0.24
EW EDWARDS LIFESCIENCES CORP Health Care Equity 6534063.2 0.24
KDP KEURIG DR PEPPER INC Consumer Staples Equity 6247569.77 0.23
MET METLIFE INC Financials Equity 6171317.25 0.23
MSI MOTOROLA SOLUTIONS INC Information Technology Equity 6151657.68 0.23
AMGN AMGEN INC Health Care Equity 5796165.87 0.21
PSA PUBLIC STORAGE REIT Real Estate Equity 5569020.38 0.21
CL COLGATE-PALMOLIVE Consumer Staples Equity 5162986.81 0.19
DELL DELL TECHNOLOGIES INC CLASS C Information Technology Equity 5073062.6 0.19
SNPS SYNOPSYS INC Information Technology Equity 4441870.36 0.16
KMB KIMBERLY CLARK CORP Consumer Staples Equity 4185551.64 0.15
XTSLA BLK CSH FND TREASURY SL AGENCY Cash and/or Derivatives Money Market 3955784.15 0.15
IBKR INTERACTIVE BROKERS GROUP INC CLAS Financials Equity 3682924.56 0.14
APO APOLLO GLOBAL MANAGEMENT INC Financials Equity 2647832.24 0.1
BAM BROOKFIELD ASSET MANAGEMENT VOTING Financials Equity 2285806.39 0.08
MAR MARRIOTT INTERNATIONAL INC CLASS A Consumer Discretionary Equity 2017612.8 0.07
ZTS ZOETIS INC CLASS A Health Care Equity 1918417.5 0.07
BKNG BOOKING HOLDINGS INC Consumer Discretionary Equity 1588920.97 0.06
USD USD CASH Cash and/or Derivatives Cash 1447470.21 0.05
ADP AUTOMATIC DATA PROCESSING INC Industrials Equity 1297956.92 0.05
SCCO SOUTHERN COPPER CORP Materials Equity 1127054.85 0.04
SHW SHERWIN WILLIAMS Materials Equity 1109709.72 0.04
ORLY OREILLY AUTOMOTIVE INC Consumer Discretionary Equity 1044295.56 0.04
MCK MCKESSON CORP Health Care Equity 987375.28 0.04
AON AON PLC CLASS A Financials Equity 843373.92 0.03
CPRT COPART INC Industrials Equity 414049.79 0.02
JPFFT CASH COLLATERAL USD JPFFT Cash and/or Derivatives Cash Collateral and Margins 380000.0 0.01
RVYU5 RUSSELL1000 VALUE MINI CME SEP 25 Cash and/or Derivatives Futures 0.0 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