ETF:SUSC | ETF Holdings Page 17 | iShares ESG Aware USD Corporate Bond ETF

Companies included in SUSC Page 17

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 1,601–1,700 of 4,219.

TickerIssuerShares ownedUnitReported weight
TORONTO-DOMINION BANKTORONTO-DOMINION BANK300,000PA0.020124%
CITIGROUP INCCITIGROUP INC282,000PA0.020108%
MITSUBISHI UFJ FIN GRPMITSUBISHI UFJ FIN GRP272,000PA0.020088%
LEGG MASON INCLEGG MASON INC282,000PA0.020075%
SANTANDER UK GROUP HLDGSSANTANDER UK GROUP HLDGS270,000PA0.020058%
BANK OF AMERICA CORPBANK OF AMERICA CORP275,000PA0.020051%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC281,000PA0.020048%
NATWEST GROUP PLCNATWEST GROUP PLC270,000PA0.020029%
CSXCSX CORP298,000PA0.020027%
CHARTER COMM OPT LLC/CAPCHARTER COMM OPT LLC/CAP286,000PA0.020021%
CLCOLGATE-PALMOLIVE CO321,000PA0.020021%
TSMC ARIZONA CORPTSMC ARIZONA CORP290,000PA0.020021%
UPSUNITED PARCEL SERVICE336,000PA0.020008%
AT&T INCAT&T INC282,000PA0.01999%
LEALEAR CORP304,000PA0.019989%
VENTAS REALTY LPVENTAS REALTY LP275,000PA0.019983%
BNSBANK OF NOVA SCOTIA310,000PA0.019979%
INTCINTEL CORP310,000PA0.019959%
BANCO SANTANDER SABANCO SANTANDER SA260,000PA0.019943%
IBM CORPIBM CORP275,000PA0.019939%
BANK OF AMERICA NABANK OF AMERICA NA258,000PA0.019933%
AAPLAPPLE INC322,000PA0.019931%
MRKMERCK & CO INC275,000PA0.019929%
ENBRIDGE INCENBRIDGE INC264,000PA0.019883%
MCDONALD'S CORPMCDONALD'S CORP247,000PA0.01985%
GOLDMAN SACHS GROUP INCGOLDMAN SACHS GROUP INC250,000PA0.019846%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC255,000PA0.019835%
CRMSALESFORCE INC454,000PA0.019832%
AMATAPPLIED MATERIALS INC257,000PA0.019818%
BNSBANK OF NOVA SCOTIA275,000PA0.019811%
PEPPEPSICO INC307,000PA0.0198%
AT&T INCAT&T INC306,000PA0.019784%
HCA INCHCA INC278,000PA0.019776%
BOSTON PROPERTIES LPBOSTON PROPERTIES LP316,000PA0.019773%
CSXCSX CORP250,000PA0.019768%
NATIONAL BANK OF CANADANATIONAL BANK OF CANADA275,000PA0.019756%
GENERAL MOTORS FINL COGENERAL MOTORS FINL CO270,000PA0.019742%
TGTTARGET CORP271,000PA0.019742%
REGIONS BANKSREGIONS BANKS253,000PA0.019733%
COPCONOCOPHILLIPS252,000PA0.019711%
AT&T INCAT&T INC255,000PA0.01971%
RIO TINTO FIN USA PLCRIO TINTO FIN USA PLC265,000PA0.0197%
BNSBANK OF NOVA SCOTIA275,000PA0.01969%
VZVERIZON COMMUNICATIONS275,000PA0.019677%
TRAVELERS COS INCTRAVELERS COS INC337,000PA0.019664%
KINDER MORGAN INCKINDER MORGAN INC270,000PA0.019649%
PECO ENERGY COPECO ENERGY CO323,000PA0.019647%
GOLDMAN SACHS GROUP INCGOLDMAN SACHS GROUP INC373,000PA0.019645%
DELL INT LLC / EMC CORPDELL INT LLC / EMC CORP227,000PA0.019632%
PNC FINANCIAL SERVICESPNC FINANCIAL SERVICES255,000PA0.019609%
CON EDISON CO OF NY INCCON EDISON CO OF NY INC238,000PA0.019602%
NXP BV/NXP FDG/NXP USANXP BV/NXP FDG/NXP USA305,000PA0.019602%
CVSCVS HEALTH CORP292,000PA0.019601%
ING GROEP NVING GROEP NV275,000PA0.019591%
AMTAMERICAN TOWER CORP255,000PA0.019586%
WELLTOWER OP LLCWELLTOWER OP LLC242,000PA0.019564%
CANADIAN NATL RAILWAYCANADIAN NATL RAILWAY315,000PA0.019563%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC240,000PA0.019552%
MIZUHO FINANCIAL GROUPMIZUHO FINANCIAL GROUP265,000PA0.019551%
SPIRE MISSOURI INCSPIRE MISSOURI INC265,000PA0.019536%
ELVELEVANCE HEALTH INC265,000PA0.019509%
CORCENCORA INC317,000PA0.019495%
ELCENTERGY LOUISIANA LLC338,000PA0.01947%
KRAFT HEINZ FOODS COKRAFT HEINZ FOODS CO252,000PA0.019459%
JPMORGAN CHASE & COJPMORGAN CHASE & CO330,000PA0.019442%
CENTERPOINT ENER HOUSTONCENTERPOINT ENER HOUSTON337,000PA0.019442%
OVVOVINTIV INC252,000PA0.019404%
MCCORMICK & COMCCORMICK & CO305,000PA0.019404%
MARSH & MCLENNAN COS INCMARSH & MCLENNAN COS INC301,000PA0.019397%
UNHUNITEDHEALTH GROUP INC330,000PA0.019395%
ORACLE CORPORACLE CORP326,000PA0.019381%
FLORIDA POWER & LIGHT COFLORIDA POWER & LIGHT CO336,000PA0.019371%
CATCATERPILLAR INC265,000PA0.019341%
CITIGROUP INCCITIGROUP INC270,000PA0.019298%
TOLEDO EDISON COMPANYTOLEDO EDISON COMPANY245,000PA0.019286%
KRKROGER CO280,000PA0.019283%
LYB INT FINANCE IIILYB INT FINANCE III427,000PA0.019277%
FDXFEDEX CORP303,000PA0.019276%
DIAGEO INVESTMENT CORPDIAGEO INVESTMENT CORP260,000PA0.019271%
JM SMUCKER COJM SMUCKER CO282,000PA0.019237%
ALIBABA GROUP HOLDINGALIBABA GROUP HOLDING319,000PA0.019222%
KRAFT HEINZ FOODS COKRAFT HEINZ FOODS CO240,000PA0.019219%
CAHCARDINAL HEALTH INC294,000PA0.019176%
PUBLIC SERVICE ELECTRICPUBLIC SERVICE ELECTRIC343,000PA0.019155%
CANADIAN NATL RAILWAYCANADIAN NATL RAILWAY442,000PA0.019134%
NUENUCOR CORP238,000PA0.019132%
TELEDYNE TECHNOLOGIES INTELEDYNE TECHNOLOGIES IN277,000PA0.019083%
KOCOCA-COLA CO/THE448,000PA0.019082%
SHELL FINANCE US INCSHELL FINANCE US INC380,000PA0.019074%
EXCEXELON CORP255,000PA0.01907%
INTERNATIONAL PAPER COINTERNATIONAL PAPER CO265,000PA0.019052%
GENERAL MOTORS FINL COGENERAL MOTORS FINL CO275,000PA0.019029%
PRUDENTIAL FINANCIAL INCPRUDENTIAL FINANCIAL INC236,000PA0.019029%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC290,000PA0.01901%
MSIMOTOROLA SOLUTIONS INC264,000PA0.019008%
WMBWILLIAMS COMPANIES INC260,000PA0.019007%
MARMARRIOTT INTERNATIONAL262,000PA0.019003%
CON EDISON CO OF NY INCCON EDISON CO OF NY INC335,000PA0.019002%
WMWASTE MANAGEMENT INC431,000PA0.018998%
SPECTRA ENERGY PARTNERSSPECTRA ENERGY PARTNERS258,000PA0.01899%

SEC N-PORT snapshot as of .

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