ETF constituents for QDVI

Below, a list of constituents for QDVI (iShares Edge MSCI USA Value Factor UCITS ETF) is shown. In total, QDVI consists of 156 securities.

Note: The data shown here is as of date Feb. 25, 2026 (the latest that can be sourced directly from the fund provider).

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Emittententicker Name Sektor Marktwert Gewichtung (%) Kurs
MU MICRON TECHNOLOGY INC IT 350.810.712,40 1030.0 418,01
CSCO CISCO SYSTEMS INC IT 171.000.560,18 502.0 78,14
INTC INTEL CORPORATION CORP IT 169.203.672,40 497.0 46,12
AMAT APPLIED MATERIAL INC IT 130.871.867,98 384.0 377,93
GM GENERAL MOTORS Zyklische Konsumgüter  124.576.193,39 366.0 81,29
VZ VERIZON COMMUNICATIONS INC Kommunikation 102.890.746,98 302.0 49,86
T AT&T INC Kommunikation 102.223.919,70 300.0 28,35
MRK MERCK & CO INC Gesundheitsversorgung 66.368.728,62 195.0 123,93
BAC BANK OF AMERICA CORP Financials 66.153.899,97 194.0 50,41
F FORD MOTOR CO Zyklische Konsumgüter  65.498.536,60 192.0 14,20
CMCSA COMCAST CORP CLASS A Kommunikation 65.079.616,30 191.0 31,61
C CITIGROUP INC Financials 61.976.229,48 182.0 109,56
FDX FEDEX CORP Industrie 60.321.141,76 177.0 386,56
PFE PFIZER INC Gesundheitsversorgung 56.430.057,94 166.0 27,14
QCOM QUALCOMM INC IT 54.217.648,74 159.0 144,78
WDC WESTERN DIGITAL CORP IT 43.707.066,09 128.0 270,57
WFC WELLS FARGO Financials 42.748.274,46 126.0 84,57
DIS WALT DISNEY Kommunikation 41.307.853,65 121.0 106,05
BMY BRISTOL MYERS SQUIBB Gesundheitsversorgung 40.873.386,40 120.0 61,60
TEL TE CONNECTIVITY PLC IT 39.183.056,16 115.0 241,44
CVS CVS HEALTH CORP Gesundheitsversorgung 36.742.763,42 108.0 74,18
PCAR PACCAR INC Industrie 35.767.256,25 105.0 126,25
DHI D R HORTON INC Zyklische Konsumgüter  34.557.872,85 101.0 163,95
HPE HEWLETT PACKARD ENTERPRISE IT 34.041.667,50 100.0 20,25
UPS UNITED PARCEL SERVICE INC CLASS B Industrie 32.789.769,18 96.0 115,37
CI CIGNA Gesundheitsversorgung 30.216.211,00 89.0 281,00
ADM ARCHER DANIELS MIDLAND Nichtzyklische Konsumgüter 29.699.436,56 87.0 68,02
NXPI NXP SEMICONDUCTORS NV IT 29.601.624,69 87.0 234,63
ACN ACCENTURE PLC CLASS A IT 26.624.848,01 78.0 196,73
KHC KRAFT HEINZ Nichtzyklische Konsumgüter 26.619.245,94 78.0 24,78
NEM NEWMONT Materialien 26.574.742,13 78.0 124,09
KR KROGER Nichtzyklische Konsumgüter 26.416.995,84 78.0 69,76
PHM PULTEGROUP INC Zyklische Konsumgüter  25.383.839,50 75.0 140,90
LHX L3HARRIS TECHNOLOGIES INC Industrie 24.444.984,27 72.0 354,27
URI UNITED RENTALS INC Industrie 23.836.379,76 70.0 896,88
COF CAPITAL ONE FINANCIAL CORP Financials 23.730.688,80 70.0 196,56
LEN LENNAR A CORP CLASS A Zyklische Konsumgüter  23.634.554,40 69.0 116,40
SPG SIMON PROPERTY GROUP REIT INC Immobilien 22.817.047,20 67.0 199,38
CSX CSX CORP Industrie 22.216.991,34 65.0 42,47
CTSH COGNIZANT TECHNOLOGY SOLUTIONS COR IT 22.128.449,30 65.0 61,06
EOG EOG RESOURCES INC Energie 21.610.390,00 63.0 123,70
FSLR FIRST SOLAR INC IT 20.839.935,27 61.0 243,21
PCG PG&E CORP Versorger 20.779.440,12 61.0 18,66
VLO VALERO ENERGY CORP Energie 20.776.564,56 61.0 199,33
ELV ELEVANCE HEALTH INC Gesundheitsversorgung 20.575.797,44 60.0 327,14
ON ON SEMICONDUCTOR CORP IT 20.178.934,41 59.0 70,03
TGT TARGET CORP Nichtzyklische Konsumgüter 20.144.608,64 59.0 115,52
USB US BANCORP Financials 18.777.336,60 55.0 55,03
BG BUNGE GLOBAL Nichtzyklische Konsumgüter 18.590.157,44 55.0 122,51
DELL DELL TECHNOLOGIES INC CLASS C IT 18.551.526,40 54.0 119,78
ZM ZOOM COMMUNICATIONS INC CLASS A IT 17.837.338,32 52.0 87,51
TFC TRUIST FINANCIAL CORP Financials 17.453.900,88 51.0 49,66
JBL JABIL INC IT 16.608.233,76 49.0 266,26
PNC PNC FINANCIAL SERVICES GROUP INC Financials 16.415.814,03 48.0 217,91
TSN TYSON FOODS INC CLASS A Nichtzyklische Konsumgüter 15.808.703,40 46.0 63,42
DVN DEVON ENERGY CORP Energie 15.194.266,32 45.0 43,28
EXPE EXPEDIA GROUP INC Zyklische Konsumgüter  15.098.923,32 44.0 198,12
WAB WESTINGHOUSE AIR BRAKE TECHNOLOGIE Industrie 15.068.178,25 44.0 264,47
HPQ HP INC IT 14.947.914,80 44.0 18,20
APTV APTIV PLC Zyklische Konsumgüter  14.914.537,75 44.0 77,69
CCL CARNIVAL CORP Zyklische Konsumgüter  14.455.505,88 42.0 31,61
FANG DIAMONDBACK ENERGY INC Energie 14.436.646,12 42.0 172,52
O REALTY INCOME REIT CORP Immobilien 13.596.421,92 40.0 66,52
PRU PRUDENTIAL FINANCIAL INC Financials 12.836.768,91 38.0 100,39
D DOMINION ENERGY INC Versorger 12.753.991,56 37.0 63,74
CTRA COTERRA ENERGY INC Energie 12.457.755,50 37.0 30,50
EIX EDISON INTERNATIONAL Versorger 12.098.968,20 36.0 75,24
NTAP NETAPP INC IT 11.852.172,12 35.0 99,87
TXT TEXTRON INC Industrie 11.559.953,21 34.0 98,99
NUE NUCOR CORP Materialien 11.210.475,75 33.0 175,15
MET METLIFE INC Financials 11.121.012,74 33.0 75,34
DAL DELTA AIR LINES INC Industrie 10.819.749,01 32.0 69,23
AIG AMERICAN INTERNATIONAL GROUP INC Financials 10.699.039,04 31.0 79,84
TDY TELEDYNE TECHNOLOGIES INC IT 10.658.915,22 31.0 683,22
EXC EXELON CORP Versorger 10.597.041,69 31.0 48,59
USD USD CASH Cash und/oder Derivate 10.528.712,29 31.0 100,00
BIIB BIOGEN INC Gesundheitsversorgung 10.399.453,35 31.0 195,13
TWLO TWILIO INC CLASS A IT 9.893.678,85 29.0 113,85
FFIV F5 INC IT 9.642.647,41 28.0 272,03
SNA SNAP ON INC Industrie 9.369.851,36 28.0 387,04
WPC W. P. CAREY REIT INC Immobilien 9.111.847,68 27.0 73,44
CNC CENTENE CORP Gesundheitsversorgung 8.870.667,94 26.0 42,37
GEN GEN DIGITAL INC IT 8.589.171,50 25.0 21,97
DLTR DOLLAR TREE INC Nichtzyklische Konsumgüter 8.556.408,44 25.0 131,71
CHTR CHARTER COMMUNICATIONS INC CLASS A Kommunikation 8.455.801,35 25.0 231,85
OXY OCCIDENTAL PETROLEUM CORP Energie 8.422.134,00 25.0 51,95
MSTR STRATEGY INC CLASS A IT 8.245.194,48 24.0 124,61
STT STATE STREET CORP Financials 8.194.884,30 24.0 127,23
RPRX ROYALTY PHARMA PLC CLASS A Gesundheitsversorgung 8.137.132,80 24.0 45,40
MTB M&T BANK CORP Financials 8.137.029,24 24.0 218,52
SJM JM SMUCKER Nichtzyklische Konsumgüter 7.930.827,45 23.0 109,35
CFG CITIZENS FINANCIAL GROUP INC Financials 7.889.469,42 23.0 62,07
SSNC SS AND C TECHNOLOGIES HOLDINGS INC Industrie 7.869.265,99 23.0 70,37
LDOS LEIDOS HOLDINGS INC Industrie 7.859.531,68 23.0 174,13
BBY BEST BUY INC Zyklische Konsumgüter  7.832.342,34 23.0 62,73
ES EVERSOURCE ENERGY Versorger 7.689.179,85 23.0 75,13
VICI VICI PPTYS INC Immobilien 7.604.610,04 22.0 30,28
HAL HALLIBURTON Energie 7.523.022,21 22.0 35,79
FTV FORTIVE CORP Industrie 7.403.631,76 22.0 57,68
ROP ROPER TECHNOLOGIES INC IT 7.299.385,50 21.0 337,70
GPN GLOBAL PAYMENTS INC Financials 7.116.405,60 21.0 78,34
FISV FISERV INC Financials 7.115.526,81 21.0 59,13
BLDR BUILDERS FIRSTSOURCE INC Industrie 7.009.868,16 21.0 109,68
BDX BECTON DICKINSON Gesundheitsversorgung 6.994.111,74 21.0 182,49
UAL UNITED AIRLINES HOLDINGS INC Industrie 6.904.018,80 20.0 112,59
CNH CNH INDUSTRIAL N.V. NV Industrie 6.841.293,00 20.0 12,75
HIG HARTFORD INSURANCE GROUP INC Financials 6.805.368,42 20.0 140,54
FITB FIFTH THIRD BANCORP Financials 6.508.179,00 19.0 50,20
FLEX FLEX LTD IT 6.453.697,20 19.0 64,92
ED CONSOLIDATED EDISON INC Versorger 6.414.823,86 19.0 111,01
SYF SYNCHRONY FINANCIAL Financials 6.387.204,81 19.0 70,77
EVRG EVERGY INC Versorger 6.063.172,50 18.0 82,50
HBAN HUNTINGTON BANCSHARES INC Financials 5.966.429,08 18.0 17,02
RF REGIONS FINANCIAL CORP Financials 5.952.264,48 17.0 28,44
UTHR UNITED THERAPEUTICS CORP Gesundheitsversorgung 5.695.362,90 17.0 473,43
SW SMURFIT WESTROCK PLC Materialien 5.621.097,60 17.0 45,90
STLD STEEL DYNAMICS INC Materialien 5.590.582,30 16.0 190,87
EG EVEREST GROUP LTD Financials 5.348.808,20 16.0 339,65
LH LABCORP HOLDINGS INC Gesundheitsversorgung 5.274.865,23 15.0 287,13
ACGL ARCH CAPITAL GROUP LTD Financials 5.090.512,68 15.0 99,18
UHS UNIVERSAL HEALTH SERVICES INC CLAS Gesundheitsversorgung 5.053.810,50 15.0 229,98
MAA MID AMERICA APARTMENT COMMUNITIES Immobilien 5.018.720,52 15.0 134,09
FOXA FOX CORP CLASS A Kommunikation 4.990.393,08 15.0 55,98
JBHT JB HUNT TRANSPORT SERVICES INC Industrie 4.923.415,20 14.0 222,90
OMC OMNICOM GROUP INC Kommunikation 4.865.882,14 14.0 82,46
ICSUAGD BLK ICS USD LIQ AGENCY DIS Cash und/oder Derivate 4.836.737,82 14.0 1,00
LYB LYONDELLBASELL INDUSTRIES NV CLASS Materialien 4.757.862,24 14.0 58,32
KEY KEYCORP Financials 4.631.718,00 14.0 21,00
NLY ANNALY CAPITAL MANAGEMENT REIT INC Financials 4.592.466,98 13.0 23,02
PFG PRINCIPAL FINANCIAL GROUP INC Financials 4.492.001,15 13.0 94,85
L LOEWS CORP Financials 4.399.732,26 13.0 109,34
ZBH ZIMMER BIOMET HOLDINGS INC Gesundheitsversorgung 4.301.101,29 13.0 99,87
FCNCA FIRST CITIZENS BANCSHARES INC CLAS Financials 4.217.591,58 12.0 1.981,02
GLPI GAMING AND LEISURE PROPERTIES REIT Immobilien 3.701.111,40 11.0 48,33
HUM HUMANA INC Gesundheitsversorgung 3.680.887,28 11.0 174,64
CF CF INDUSTRIES HOLDINGS INC Materialien 3.608.161,62 11.0 96,11
DECK DECKERS OUTDOOR CORP Zyklische Konsumgüter  3.553.217,20 10.0 120,94
IP INTERNATIONAL PAPER Materialien 3.370.611,40 10.0 44,02
FOX FOX CORP CLASS B Kommunikation 3.225.770,10 9.0 51,46
SMCI SUPER MICRO COMPUTER INC IT 3.133.016,59 9.0 31,13
AMCR AMCOR PLC Materialien 2.910.088,74 9.0 50,18
SOLV SOLVENTUM CORP Gesundheitsversorgung 2.673.442,46 8.0 73,42
DD DUPONT DE NEMOURS INC Materialien 2.597.981,97 8.0 51,07
ZBRA ZEBRA TECHNOLOGIES CORP CLASS A IT 2.548.378,98 7.0 235,83
BAX BAXTER INTERNATIONAL INC Gesundheitsversorgung 2.533.838,49 7.0 20,63
OKTA OKTA INC CLASS A IT 2.503.274,32 7.0 71,14
IFF INTERNATIONAL FLAVORS & FRAGRANCES Materialien 2.390.550,54 7.0 82,11
FNF FIDELITY NATIONAL FINANCIAL INC Financials 2.213.163,40 6.0 51,94
BAH BOOZ ALLEN HAMILTON HOLDING CORP C Industrie 1.975.845,70 6.0 75,70
HRL HORMEL FOODS CORP Nichtzyklische Konsumgüter 1.871.661,00 5.0 25,80
WAT WATERS CORP Gesundheitsversorgung 1.691.865,50 5.0 326,30
EQH EQUITABLE HOLDINGS INC Financials 1.565.427,69 5.0 41,11
HSBFT CASH COLLATERAL USD HSBFT Cash und/oder Derivate 1.104.000,00 3.0 100,00
GBP GBP CASH Cash und/oder Derivate 193.726,68 1.0 135,16
EUR EUR CASH Cash und/oder Derivate 51.274,03 0.0 117,73
FAH6 S&P MID 400 EMINI MAR 26 Cash und/oder Derivate 0,00 0.0 3.582,10