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Home/ETF 보유 종목/IWD

IWD holdingswhat does iShares Russell 1000 Value ETF hold?

이 펀드의 최신 SEC Form N-PORT 공시 기준 최대 보유 포지션입니다 (분기별 보고, 지연 공시). 비중은 순자산 대비입니다. SEC Form N-PORT · 2026-03-31 기준

상위 150개 포지션 표시상위 10개 보유 비중: 19.3%2026-03-31 기준
#보유 종목비중평가액
1BERKSHIRE HATHAWAY INC.BRK/B2.91%$2.03B
2JPMORGAN CHASE & CO.JPM2.63%$1.84B
3EXXON MOBIL CORPORATION2.36%$1.65B
4ALPHABET INC.GOOGL1.95%$1.36B
5JOHNSON & JOHNSONJNJ1.94%$1.35B
6AMAZON.COM, INC.AMZN1.81%$1.26B
7WALMART INC.WMT1.60%$1.12B
8ALPHABET INC.GOOG1.59%$1.11B
9CHEVRON CORPORATIONCVX1.28%$890.17M
10MICRON TECHNOLOGY, INC.MU1.24%$866.87M
11THE PROCTER & GAMBLE COMPANYPG1.12%$779.13M
12CISCO SYSTEMS, INC.CSCO1.02%$709.21M
13MERCK & CO., INC.MRK0.98%$686.53M
14BANK OF AMERICA CORPORATIONBAC0.97%$676.84M
15CATERPILLAR INC.CAT0.95%$660.62M
16RTX CORPORATIONRTX0.85%$592.68M
17Philip Morris International Inc.PM0.85%$591.57M
18WELLS FARGO & COMPANYWFC0.81%$566.20M
19UNITEDHEALTH GROUP INCORPORATEDUNH0.81%$565.47M
20THE GOLDMAN SACHS GROUP, INC.GS0.77%$540.17M
21LINDE PUBLIC LIMITED COMPANY0.77%$534.64M
22INTERNATIONAL BUSINESS MACHINES CORPORATIONIBM0.74%$517.91M
23BlackRock Funds III: BlackRock Cash Funds: Institutional; SL Agency SharesBISXX0.74%$513.19M
24META PLATFORMS, INC.META0.73%$511.63M
25VERIZON COMMUNICATIONS INC.VZ0.70%$486.90M
26MCDONALD'S CORPORATIONMCD0.69%$481.36M
27AT&T INC.T0.66%$460.12M
28INTEL CORPORATIONINTC0.64%$447.18M
29APPLIED MATERIALS, INC.AMAT0.64%$446.06M
30NEXTERA ENERGY, INC.NEE0.64%$444.98M
31MORGAN STANLEYMS0.61%$428.76M
32THERMO FISHER SCIENTIFIC INCORPORATEDTMO0.61%$426.28M
33Pepsico, Inc.PEP0.60%$421.76M
34ABBOTT LABORATORIESABT0.59%$408.27M
35THE WALT DISNEY COMPANYDIS0.56%$393.20M
36CONOCOPHILLIPSCOP0.54%$375.10M
37CITIGROUP INC.C0.53%$370.83M
38PFIZER INC.PFE0.52%$366.34M
39ANALOG DEVICES, INC.ADI0.51%$357.11M
40THE COCA-COLA COMPANYKO0.50%$347.32M
41SALESFORCE, INC.CRM0.50%$347.09M
42BLACKROCK, INC.BLK0.48%$336.95M
43HONEYWELL INTERNATIONAL INCORPORATION0.47%$330.10M
44THE CHARLES SCHWAB CORPORATIONSCHW0.47%$328.93M
45EATON CORPORATION PUBLIC LIMITED COMPANY0.46%$321.90M
46DEERE & COMPANYDE0.45%$316.06M
47ADVANCED MICRO DEVICES, INC.AMD0.45%$312.27M
48WELLTOWER INC.WELL0.45%$312.20M
49UNION PACIFIC CORPORATIONUNP0.44%$306.92M
50LOWE'S COMPANIES, INC.LOW0.44%$304.12M
51THE BOEING COMPANYBA0.43%$296.83M
52S&P GLOBAL INC.SPGI0.42%$296.12M
53GILEAD SCIENCES, INC.GILD0.42%$291.29M
54PROLOGIS, INC.PLD0.40%$281.57M
55ACCENTURE PUBLIC LIMITED COMPANY0.40%$280.17M
56DANAHER CORPORATIONDHR0.39%$274.17M
57Chubb Limited0.39%$273.57M
58NEWMONT CORPORATIONNEM0.39%$273.11M
59PARKER-HANNIFIN CORPORATIONPH0.37%$260.03M
60CAPITAL ONE FINANCIAL CORPORATIONCOF0.37%$257.43M
61Altria Group, Inc.0.37%$255.64M
62MEDTRONIC PUBLIC LIMITED COMPANY0.37%$255.19M
63THE PROGRESSIVE CORPORATION0.36%$253.40M
64AMERICAN EXPRESS COMPANY0.36%$252.13M
65THE SOUTHERN COMPANY0.35%$244.24M
66QUALCOMM INCORPORATED0.35%$243.95M
67CME GROUP INC.0.35%$243.93M
68CORNING INCORPORATED0.35%$243.79M
69TEXAS INSTRUMENTS INCORPORATED0.34%$239.42M
70COMCAST CORPORATION0.34%$238.30M
71DUKE ENERGY CORPORATION0.34%$233.93M
72T-MOBILE US, INC.0.33%$232.42M
73BRISTOL-MYERS SQUIBB COMPANY0.33%$229.24M
74EQUINIX, INC.0.32%$219.99M
75WESTERN DIGITAL CORPORATION0.30%$211.36M
76Northrop Grumman Corporation0.30%$209.53M
77SANDISK CORPORATION0.30%$208.69M
78LOCKHEED MARTIN CORPORATION0.30%$206.60M
79CVS HEALTH CORPORATION0.30%$206.60M
80INTERCONTINENTAL EXCHANGE, INC.0.30%$206.08M
81THE TJX COMPANIES, INC.0.29%$205.14M
82STARBUCKS CORPORATION0.29%$203.08M
83CONSTELLATION ENERGY CORPORATION.0.29%$200.30M
84GENERAL DYNAMICS CORPORATION0.29%$199.21M
85FREEPORT-MCMORAN INC.0.28%$193.12M
86STRYKER CORPORATION0.28%$192.98M
87THE WILLIAMS COMPANIES, INC.0.28%$192.80M
88U.S. BANCORP0.27%$186.54M
89THE PNC FINANCIAL SERVICES GROUP, INC.0.27%$185.88M
90JOHNSON CONTROLS INTERNATIONAL PUBLIC LIMITED COMPANY0.26%$183.91M
91EOG RESOURCES, INC.0.26%$181.24M
92REGENERON PHARMACEUTICALS, INC.0.26%$180.13M
93MARVELL TECHNOLOGY, INC.0.26%$179.18M
94THE HOME DEPOT, INC.0.26%$178.90M
95CSX Corporation0.25%$177.03M
96BOSTON SCIENTIFIC CORPORATION0.25%$176.07M
97FEDEX CORPORATION0.25%$175.37M
98The Bank of New York Mellon Corporation0.25%$174.04M
99VALERO ENERGY CORPORATION0.25%$172.29M
100Mondelez International, Inc.0.25%$171.56M
101MARSH & MCLENNAN COMPANIES, INC.0.24%$170.63M
102CUMMINS INC.0.24%$170.10M
103EMERSON ELECTRIC CO.0.24%$169.66M
104MARATHON PETROLEUM CORPORATION0.24%$168.68M
105UNITED PARCEL SERVICE, INC.0.24%$165.90M
106SLB N.V.0.23%$163.10M
107CRH PUBLIC LIMITED COMPANY0.23%$161.99M
108AMERICAN ELECTRIC POWER COMPANY, INC.0.23%$161.13M
109PHILLIPS 660.22%$156.62M
110GENERAL MOTORS COMPANY0.22%$154.50M
111KINDER MORGAN, INC.0.21%$149.82M
112ELEVANCE HEALTH, INC.0.21%$149.38M
1133M COMPANY0.21%$149.33M
114NORFOLK SOUTHERN CORPORATION0.21%$148.93M
115THE CIGNA GROUP0.21%$148.64M
116AIR PRODUCTS AND CHEMICALS, INC.0.21%$148.29M
117L3HARRIS TECHNOLOGIES, INC.0.21%$148.12M
118WARNER BROS. DISCOVERY, INC.0.21%$146.97M
119SEMPRA0.21%$145.77M
120The Travelers Companies, Inc.0.21%$145.22M
121DIGITAL REALTY TRUST, INC.0.20%$142.25M
122NIKE, INC.0.20%$142.04M
123BAKER HUGHES COMPANY0.20%$139.16M
124HCA HEALTHCARE, INC.0.20%$138.73M
125PACCAR INC0.20%$136.82M
126Truist Financial Corporation0.19%$133.20M
127CORTEVA, INC.0.19%$129.97M
128ONEOK, INC.0.19%$129.71M
129REALTY INCOME CORPORATION0.18%$128.53M
130ROSS STORES, INC.0.18%$126.83M
131TARGET CORPORATION0.18%$126.42M
132CIENA CORPORATION0.18%$125.76M
133THE ALLSTATE CORPORATION0.18%$124.03M
134TRANSDIGM GROUP INCORPORATED0.17%$121.31M
135Dominion Energy, Inc.0.17%$121.07M
136ARTHUR J. GALLAGHER & CO.0.17%$118.45M
137AFLAC INCORPORATED0.17%$118.44M
138ELECTRONIC ARTS INC.0.17%$117.65M
139ILLINOIS TOOL WORKS INC.0.17%$116.43M
140ENTERGY CORPORATION0.17%$115.15M
141ECOLAB INC.0.16%$114.99M
142AMGEN INC.0.16%$113.97M
143EXELON CORPORATION0.16%$113.79M
144AMETEK, INC.0.16%$113.31M
145KEYSIGHT TECHNOLOGIES, INC.0.16%$111.57M
146AUTOZONE, INC.0.16%$109.22M
147KKR & CO. INC.0.15%$108.10M
148Xcel Energy Inc.0.15%$107.91M
149SIMON PROPERTY GROUP, INC.0.15%$107.90M
150TERADYNE, INC.0.15%$106.56M
IWD 종목 페이지 →ETF 보유 종목 →Sector heatmap →

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SEC Form N-PORT data · Reported quarterly, filed with a lag · For reference only · Not investment advice