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All 159 ESMV (ISHARES ESG OPTIMIZED MSCI USA MIN VOL FACTOR ETF) Holdings

There are 159 ESMV holdings. Top 10 companies weight: 15.81%.

Screener with all companies

Total Market Cap: $41T
Rank
Average(159 stocks)+31.40%29.7821.950.39+21.63%+25.54%1.16
101
WDCWestern Digital Corp0.37%$548.39$177BComputer HardwareTechnology+75.52%27.0825.060.09N/AN/A73+15.58%$634+63.15%2.03
102
FWONKN/A0.36%$97.92$34BEntertainmentCommunication ServicesN/A87.3170.920.73N/AN/A76+19.37%$117+15.96%0.54
103
VLTOVeralto Corp0.34%$90.18$22BPollution & Treatment ControlsIndustrialsN/A23.2522.082.16N/AN/A69+19.89%$1080.00%0.58
104
TYLTyler Technologies Inc0.34%$299.74$15BSoftware - ApplicationTechnology+11.37%46.2925.005.20N/AN/A76+45.97%$438-9.50%0.48
105
UBERUber Technologies Inc0.33%$71.55$148BSoftware - ApplicationTechnologyN/A17.6921.606.05N/AN/A76+45.37%$104+8.51%1.05
106
BRBroadridge Financial Solutions Inc0.32%$145.02$17BInformation Technology ServicesTechnology+16.10%15.6114.330.39N/AN/A72+42.39%$207-1.47%0.46
107
UNHUnitedhealth Group Inc0.29%$436.35$380BHealthcare PlansHealthcare-5.71%31.5123.311.49N/AN/A75+8.09%$472+2.77%0.29
108
n/aBlackrock Cash Funds Treasury Sl Agency0.29%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
109
FICOFair Isaac Corp0.28%$1,228.51$28BSoftware - ApplicationTechnology+27.34%37.5822.621.05N/AN/A73+24.91%$1.53K+17.43%0.89
110
TELTe Connectivity Plc Registered Shares0.28%$209.01$59BElectronic ComponentsTechnology+6.29%26.2616.000.91N/AN/A67+23.15%$257+10.42%1.22
111
ORCLOracle Corp0.25%$127.05$382BSoftware - InfrastructureTechnology+4.66%22.2515.650.66N/AN/A75+96.17%$249+8.43%1.52
112
ZTSZoetis Inc Class A0.25%$75.35$31BDrug Manufacturers - Specialty & GenericHealthcare+10.56%12.0811.201.05N/AN/A67+52.30%$115-16.85%0.56
113
ANETArista Networks Inc0.24%$174.67$216BComputer HardwareTechnology+39.68%58.1246.512.54N/AN/A80+9.78%$192+49.57%1.81
114
ACGLArch Capital Group Ltd0.24%$100.55$35BInsurance - DiversifiedFinancial Services+27.16%8.5810.752.08N/AN/A65+10.00%$111+22.63%0.32
115
BRK-BBerkshire Hathaway Inc Class B0.22%$489.65$1.05TInsurance - DiversifiedFinancial Services-5.35%14.5623.2610.06N/AN/A75+6.27%$520+12.01%0.41
116
GOOGAlphabet Inc Class C0.21%$346.19$4.49TInternet Content & InformationCommunication Services+28.33%27.9624.510.61N/AN/A77+24.23%$430+21.24%1.11
117
NTAPNetapp Inc0.21%$165.76$32BSoftware - InfrastructureTechnology+14.46%25.1218.052.42N/AN/A61+6.93%$177+19.21%1.26
118
FFIVF5 Inc0.21%$408.74$24BSoftware - InfrastructureTechnology+22.08%34.1223.472.20N/AN/A61+2.63%$420+16.56%0.99
119
HUMHumana Inc0.19%$404.72$49BHealthcare PlansHealthcare+8.85%15.5043.860.91N/AN/A56-14.33%$347-1.71%0.39
120
COSTCostco Wholesale Corp0.19%$929.22$406BDiscount StoresConsumer Defensive+13.27%46.0041.493.63N/AN/A64+15.89%$1.08K+18.62%0.39
121
RSGRepublic Services Inc0.18%$214.63$67BWaste ManagementIndustrials+17.20%31.9630.964.90N/AN/A66+13.97%$245+14.73%0.16
122
ADIAnalog Devices Inc0.18%$382.81$190BSemiconductorsTechnology+9.90%57.6725.640.69N/AN/A75+19.48%$457+20.79%1.63
123
KEYSKeysight Technologies Inc0.16%$328.29$55BScientific & Technical InstrumentsTechnology+16.61%51.3825.191.86N/AN/A71+18.09%$388+15.66%1.46
124
SNOWSnowflake Inc Ordinary Shares0.16%$271.73$94BSoftware - ApplicationTechnologyN/AN/A138.896.94N/AN/A75+9.44%$297+0.33%1.41
125
WTWWillis Towers Watson Plc0.15%$288.82$27BInsurance BrokersFinancial Services+24.14%23.9215.481.08N/AN/A70+17.61%$340+6.41%0.20
126
APPApplovin Corp Ordinary Shares Class A0.15%$428.69$152BAdvertising AgenciesCommunication ServicesN/A38.6026.950.36N/AN/A78+52.70%$655+46.89%2.26
127
CTSHCognizant Technology Solutions Corp Class A0.15%$43.63$21BInformation Technology ServicesTechnology+10.11%9.317.840.72N/AN/A62+46.46%$64-7.01%0.72
128
KDPKeurig Dr Pepper Inc0.15%$30.21$41BBeverages - Non-alcoholicConsumer Defensive+4.93%22.4613.441.04N/AN/A70+15.66%$35-0.74%0.15
129
CRWDCrowdstrike Holdings Inc Class A0.14%$191.15$210BSoftware - InfrastructureTechnologyN/AN/A163.936.85N/AN/A73-1.03%$189+23.79%1.50
130
HONHoneywell International Inc0.13%$229.86$71BConglomeratesIndustrials+14.44%17.2913.510.37N/AN/A65+7.13%$246+2.07%0.77
131
TRGPTarga Resources Corp0.13%$280.22$60BOil & Gas MidstreamEnergy+49.45%28.0526.040.43N/AN/A78+4.29%$292+48.62%0.75
132
COPConocophillips0.13%$117.53$136BOil & Gas E&pEnergy+19.60%15.9811.140.96N/AN/A73+19.66%$141+19.91%0.53
133
AIGAmerican International Group Inc0.12%$80.23$41BInsurance - DiversifiedFinancial ServicesN/A13.2510.000.65N/AN/A61+10.12%$88+13.56%0.51
134
HONAHoneywell Aerospace Inc0.12%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
135
ADMArcher-daniels-midland Co0.11%$86.19$40BFarm ProductsConsumer Defensive-8.21%43.2717.892.49N/AN/A40-13.21%$75+11.58%0.27
136
TWLOTwilio Inc Class A0.11%$196.22$32BSoftware - InfrastructureTechnologyN/A190.3236.760.40N/AN/A70+5.83%$208-13.51%1.31
137
FTNTFortinet Inc0.11%$158.10$121BSoftware - InfrastructureTechnology+34.10%62.7454.649.03N/AN/A52-24.15%$120+23.90%1.04
138
GLWCorning Inc0.10%$162.45$149BElectronic ComponentsTechnology-7.27%104.6248.780.36N/AN/A65+31.78%$214+35.51%1.56
139
ABTAbbott Laboratories0.09%$99.69$156BMedical DevicesHealthcare+14.67%26.7018.387.12N/AN/A72+18.70%$118-1.46%0.18
140
XYLXylem Inc0.09%$117$30BSpecialty Industrial MachineryIndustrials+5.41%36.2422.122.72N/AN/A70+29.11%$151+0.37%0.86
141
EWEdwards Lifesciences Corp0.09%$84.56$50BMedical DevicesHealthcare+6.66%46.3028.252.10N/AN/A71+17.08%$99-4.61%0.59
142
AWKAmerican Water Works Co Inc0.08%$131.47$25BUtilities - Regulated WaterUtilities+9.38%23.5622.272.55N/AN/A51+6.42%$140-2.35%N/A
143
WMWaste Management Inc0.08%$233.18$94BWaste ManagementIndustrials+10.53%34.8528.992.41N/AN/A69+10.11%$257+11.70%0.13
144
DASHDoordash Inc Ordinary Shares Class A0.08%$188.04$83BInternet RetailConsumer CyclicalN/A89.7168.494.30N/AN/A75+30.40%$245+0.57%1.27
145
ABBVAbbvie Inc0.07%$256.18$432BDrug Manufacturers - GeneralHealthcare-19.65%139.0818.020.40N/AN/A74+4.06%$267+21.25%0.28
146
NINisource Inc0.06%$45.37$22BUtilities - Regulated GasUtilities+31.83%22.7222.522.27N/AN/A70+13.07%$51+16.52%0.30
147
n/aUsd Cash0.06%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
148
REGNRegeneron Pharmaceuticals Inc0.06%$675.19$69BBiotechnologyHealthcare+20.31%15.8615.0888.04N/AN/A72+21.33%$819+3.01%0.60
149
LRCXLam Research Corp0.06%$322$419BSemiconductor Equipment & MaterialsTechnology+17.26%62.8739.531.32N/AN/A72+14.37%$368+39.76%2.20
150
AONAon Plc Class A0.05%$359.35$76BInsurance BrokersFinancial Services+25.21%23.8219.340.86N/AN/A65+9.39%$393+9.98%0.21

ESMV (ISHARES ESG OPTIMIZED MSCI USA MIN VOL FACTOR ETF) Sector Allocation

INFORMATION TECHNOLOGY
31.80%
HEALTHCARE
14.20%
FINANCIALS
10.20%
CONSUMER STAPLES
8.40%
INDUSTRIALS
8.00%
COMMUNICATION SERVICES
5.30%
UTILITIES
5.10%
CONSUMER DISCRETIONARY
5.00%
ENERGY
4.10%
MATERIALS
2.90%
REAL ESTATE
0.00%