ETF:SUSC | ETF Holdings Page 14 | iShares ESG Aware USD Corporate Bond ETF

Companies included in SUSC Page 14

This is SUSC's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 1,301–1,400 of 4,219.

TickerIssuerShares ownedUnitReported weight
MITSUBISHI UFJ FIN GRPMITSUBISHI UFJ FIN GRP352,000PA0.023563%
WW GRAINGER INCWW GRAINGER INC358,000PA0.023546%
PNC FINANCIAL SERVICESPNC FINANCIAL SERVICES334,000PA0.023535%
MPLX LPMPLX LP362,000PA0.023533%
MAMASTERCARD INC429,000PA0.023532%
TIME WARNER CABLE LLCTIME WARNER CABLE LLC320,000PA0.023482%
BANK OF AMERICA CORPBANK OF AMERICA CORP444,000PA0.02348%
SPRINT CAPITAL CORPSPRINT CAPITAL CORP270,000PA0.023479%
LLOYDS BANKING GROUP PLCLLOYDS BANKING GROUP PLC325,000PA0.023466%
WMBWILLIAMS COMPANIES INC302,000PA0.023452%
SOUTHERN CAL EDISONSOUTHERN CAL EDISON311,000PA0.02345%
US BANCORPUS BANCORP325,000PA0.023447%
AERCAP IRELAND CAP/GLOBAAERCAP IRELAND CAP/GLOBA326,000PA0.023427%
CDW LLC/CDW FINANCECDW LLC/CDW FINANCE337,000PA0.023412%
ONCOR ELECTRIC DELIVERYONCOR ELECTRIC DELIVERY332,000PA0.023393%
COMCAST CORPCOMCAST CORP428,000PA0.023389%
VZVERIZON COMMUNICATIONS355,000PA0.023387%
WYWEYERHAEUSER CO314,000PA0.02338%
KOCOCA-COLA CO/THE482,000PA0.023372%
BROOKFIELD FINANCE INCBROOKFIELD FINANCE INC322,000PA0.023334%
JNJJOHNSON & JOHNSON398,000PA0.02328%
HALHALLIBURTON CO341,000PA0.023266%
PRUDENTIAL FINANCIAL INCPRUDENTIAL FINANCIAL INC315,000PA0.023239%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC341,000PA0.0232%
CANADIAN NATL RAILWAYCANADIAN NATL RAILWAY441,000PA0.023189%
COMCAST CORPCOMCAST CORP281,000PA0.023183%
WMBWILLIAMS COMPANIES INC320,000PA0.023135%
KINDER MORGAN ENER PARTKINDER MORGAN ENER PART284,000PA0.023119%
ANHEUSER-BUSCH INBEV WORANHEUSER-BUSCH INBEV WOR364,000PA0.023113%
IBM CORPIBM CORP314,000PA0.023111%
INTERCONTINENTALEXCHANGEINTERCONTINENTALEXCHANGE350,000PA0.023084%
ANGLOGOLD HOLDINGS PLCANGLOGOLD HOLDINGS PLC333,000PA0.02308%
MPCMARATHON PETROLEUM CORP325,000PA0.023079%
WELLTOWER OP LLCWELLTOWER OP LLC335,000PA0.023065%
UNHUNITEDHEALTH GROUP INC315,000PA0.023061%
HSBC BANK USA NAHSBC BANK USA NA275,000PA0.02304%
EXXON MOBIL CORPORATIONEXXON MOBIL CORPORATION347,000PA0.023024%
ORACLE CORPORACLE CORP379,000PA0.023021%
KRKROGER CO335,000PA0.02302%
VZVERIZON COMMUNICATIONS542,000PA0.023011%
SOUTHERN CAL EDISONSOUTHERN CAL EDISON475,000PA0.022994%
EXCEXELON CORP332,000PA0.02299%
ELVELEVANCE HEALTH INC310,000PA0.022966%
VVISA INC345,000PA0.022965%
HCA INCHCA INC467,000PA0.022952%
JPMORGAN CHASE & COJPMORGAN CHASE & CO293,000PA0.022937%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC350,000PA0.022935%
MORGAN STANLEYMORGAN STANLEY355,000PA0.022915%
AON NORTH AMERICA INCAON NORTH AMERICA INC325,000PA0.02291%
CHARTER COMM OPT LLC/CAPCHARTER COMM OPT LLC/CAP480,000PA0.022906%
TGTTARGET CORP411,000PA0.022899%
SOUTHERN CAL EDISONSOUTHERN CAL EDISON334,000PA0.022899%
HOST HOTELS & RESORTS LPHOST HOTELS & RESORTS LP315,000PA0.022894%
BANK OF AMERICA CORPBANK OF AMERICA CORP320,000PA0.022889%
HDHOME DEPOT INC325,000PA0.02287%
HDHOME DEPOT INC373,000PA0.022835%
GOLDMAN SACHS GROUP INCGOLDMAN SACHS GROUP INC300,000PA0.022794%
HCA INCHCA INC305,000PA0.022794%
ORACLE CORPORACLE CORP462,000PA0.022762%
US BANCORPUS BANCORP315,000PA0.022757%
MSFTMICROSOFT CORP356,000PA0.022748%
CON EDISON CO OF NY INCCON EDISON CO OF NY INC535,000PA0.022734%
EXCEXELON CORP376,000PA0.022727%
TRAVELERS COS INCTRAVELERS COS INC313,000PA0.022723%
DELL INT LLC / EMC CORPDELL INT LLC / EMC CORP249,000PA0.02269%
HONHONEYWELL INTERNATIONAL360,000PA0.022688%
US BANCORPUS BANCORP315,000PA0.02262%
AXPAMERICAN EXPRESS CO290,000PA0.022606%
BALTIMORE GAS & ELECTRICBALTIMORE GAS & ELECTRIC408,000PA0.022597%
GOLDMAN SACHS GROUP INCGOLDMAN SACHS GROUP INC319,000PA0.022586%
DOW CHEMICAL CO/THEDOW CHEMICAL CO/THE298,000PA0.022567%
UNHUNITEDHEALTH GROUP INC318,000PA0.022512%
VODAFONE GROUP PLCVODAFONE GROUP PLC287,000PA0.0225%
AMGNAMGEN INC320,000PA0.0225%
MARSH & MCLENNAN COS INCMARSH & MCLENNAN COS INC384,000PA0.022488%
MARSH & MCLENNAN COS INCMARSH & MCLENNAN COS INC310,000PA0.022465%
BURLINGTON RESOURCES LLCBURLINGTON RESOURCES LLC275,000PA0.022458%
MORGAN STANLEYMORGAN STANLEY300,000PA0.022454%
AAPLAPPLE INC497,000PA0.02245%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC300,000PA0.022423%
BANK OF AMERICA CORPBANK OF AMERICA CORP335,000PA0.022398%
RTXRTX CORP295,000PA0.02238%
AT&T INCAT&T INC365,000PA0.02238%
QCOMQUALCOMM INC341,000PA0.022375%
STESTERIS PLC412,000PA0.022375%
PRUDENTIAL FINANCIAL INCPRUDENTIAL FINANCIAL INC430,000PA0.022367%
COPCONOCOPHILLIPS COMPANY320,000PA0.022357%
MRKMERCK & CO INC380,000PA0.022324%
CICIGNA GROUP/THE320,000PA0.022302%
BANK OF NY MELLON CORPBANK OF NY MELLON CORP300,000PA0.022265%
BAXBAXTER INTERNATIONAL INC502,000PA0.022265%
SOUTHERN CAL EDISONSOUTHERN CAL EDISON437,000PA0.022244%
BANK OF AMERICA CORPBANK OF AMERICA CORP323,000PA0.022194%
ORACLE CORPORACLE CORP431,000PA0.022185%
HONHONEYWELL INTERNATIONAL288,000PA0.022183%
PRUDENTIAL FINANCIAL INCPRUDENTIAL FINANCIAL INC295,000PA0.022146%
WUWESTERN UNION CO/THE299,000PA0.022143%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC300,000PA0.022142%
GE HEALTHCARE TECH INCGE HEALTHCARE TECH INC283,000PA0.022124%
NINISOURCE INC350,000PA0.022104%

SEC N-PORT snapshot as of .

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