0001752724-24-191750.txt : 20240826 0001752724-24-191750.hdr.sgml : 20240826 20240826160059 ACCESSION NUMBER: 0001752724-24-191750 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240630 FILED AS OF DATE: 20240826 DATE AS OF CHANGE: 20240826 PERIOD START: 20250331 FILER: COMPANY DATA: COMPANY CONFORMED NAME: iSHARES TRUST CENTRAL INDEX KEY: 0001100663 ORGANIZATION NAME: IRS NUMBER: 943351276 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-09729 FILM NUMBER: 241241066 BUSINESS ADDRESS: STREET 1: 400 HOWARD STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 BUSINESS PHONE: (415) 670-2000 MAIL ADDRESS: STREET 1: 400 HOWARD STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 FORMER COMPANY: FORMER CONFORMED NAME: ISHARES TRUST DATE OF NAME CHANGE: 19991213 0001100663 S000069532 iShares ESG Screened S&P 500 ETF C000221870 iShares ESG Screened S&P 500 ETF XVV NPORT-P 1 primary_doc.xml 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514.00000000 NS USD 42291.92000000 0.016775490077 Long EC CORP US N 1 N N N Thermo Fisher Scientific Inc HCHV7422L5HDJZCRFL38 Thermo Fisher Scientific Inc 883556102 2295.00000000 NS USD 1269135.00000000 0.503414401599 Long EC CORP US N 1 N N N Paychex Inc 529900K900DW6SUBM174 Paychex Inc 704326107 1916.00000000 NS USD 227160.96000000 0.090105543338 Long EC CORP US N 1 N N N Alphabet Inc 5493006MHB84DD0ZWV18 Alphabet Inc 02079K107 29380.00000000 NS USD 5388879.60000000 2.137550062936 Long EC CORP US N 1 N N N Edwards Lifesciences Corp YA13X31F3V31L8TMPR58 Edwards Lifesciences Corp 28176E108 3627.00000000 NS USD 335025.99000000 0.132891227707 Long EC CORP US N 1 N N N Norfolk Southern Corp 54930036C8MWP850MI84 Norfolk Southern Corp 655844108 1359.00000000 NS USD 291763.71000000 0.115730835157 Long EC CORP US N 1 N N N SBA Communications Corp 5299001HX8ZN8Y8QIT49 SBA Communications Corp 78410G104 641.00000000 NS USD 125828.30000000 0.049910985315 Long EC CORP US N 1 N N N Ulta Beauty Inc 529900CIV6HN8M28YM82 Ulta Beauty Inc 90384S303 293.00000000 NS USD 113059.91000000 0.044846282655 Long EC CORP US N 1 N N N MGM Resorts International 54930066VBP7DZEGGJ87 MGM Resorts International 552953101 1508.00000000 NS USD 67015.52000000 0.026582339860 Long EC CORP US N 1 N N N Akamai Technologies Inc OC1LZNN2LF5WTJ5RIL89 Akamai Technologies Inc 00971T101 916.00000000 NS USD 82513.28000000 0.032729672946 Long EC CORP US N 1 N N N Molina Healthcare Inc 549300NQQCEQ46YHZ591 Molina Healthcare Inc 60855R100 349.00000000 NS USD 103757.70000000 0.041156473075 Long EC CORP US N 1 N N N Ball Corp 0BGI85ALH27ZJP15DY16 Ball Corp 058498106 1899.00000000 NS USD 113977.98000000 0.045210443804 Long EC CORP US N 1 N N N Veralto Corp 635400FJE6GSOJUSNY27 Veralto Corp 92338C103 1316.00000000 NS USD 125638.52000000 0.049835707283 Long EC CORP US N 1 N N N AbbVie Inc FR5LCKFTG8054YNNRU85 AbbVie Inc 00287Y109 10617.00000000 NS USD 1821027.84000000 0.722327916548 Long EC CORP US N 1 N N N CDW Corp/DE 9845001B052ABF0B6755 CDW Corp/DE 12514G108 803.00000000 NS USD 179743.52000000 0.071296967274 Long EC CORP US N 1 N N N VICI Properties Inc 254900RKH6RY9KCJQH63 VICI Properties Inc 925652109 6231.00000000 NS USD 178455.84000000 0.070786196823 Long EC CORP US N 1 N N N United Rentals Inc 5323X5O7RN0NKFCDRY08 United Rentals Inc 911363109 404.00000000 NS USD 261278.92000000 0.103638754870 Long EC CORP US N 1 N N N KeyCorp RKPI3RZGV1V1FJTH5T61 KeyCorp 493267108 5736.00000000 NS USD 81508.56000000 0.032331141255 Long EC CORP US N 1 N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 617446448 7523.00000000 NS USD 731160.37000000 0.290021676288 Long EC CORP US N 1 N N N Amphenol Corp 549300D3L3G0R4U4VT04 Amphenol Corp 032095101 7223.00000000 NS USD 486613.51000000 0.193019851274 Long EC CORP US N 1 N N N Labcorp Holdings Inc N/A Labcorp Holdings Inc 504922105 506.00000000 NS USD 102976.06000000 0.040846428176 Long EC CORP US N 1 N N N Accenture PLC 5493000EWHDSR3MZWH98 Accenture PLC 000000000 3780.00000000 NS USD 1146889.80000000 0.454924686788 Long EC CORP IE N 1 N N N MSCI Inc 549300HTIN2PD78UB763 MSCI Inc 55354G100 473.00000000 NS USD 227867.75000000 0.090385898277 Long EC CORP US N 1 N N N J M Smucker Co/The 5493000WDH6A0LHDJD55 J M Smucker Co/The 832696405 633.00000000 NS USD 69022.32000000 0.027378356061 Long EC CORP US N 1 N N N Seagate Technology Holdings PL 635400RUXIFEZSRU8X70 Seagate Technology Holdings PLC 000000000 1164.00000000 NS USD 120206.28000000 0.047680957908 Long EC CORP US N 1 N N N 2024-08-26 iShares Trust Chuck Pulsfort Chuck Pulsfort Assistant Treasurer XXXX NPORT-EX 2 252025BR063024.htm
Schedule of Investments (unaudited)  
June 30, 2024
iShares® ESG Screened S&P 500 ETF
(Percentages shown are based on Net Assets)
Security   Shares Value
Common Stocks
Aerospace & Defense — 0.5%
Axon Enterprise, Inc.(a)

      428 $  125,935
General Electric Co.

    6,581 1,046,181
Howmet Aerospace, Inc.

    2,352 182,586
      1,354,702
Air Freight & Logistics — 0.5%
CH Robinson Worldwide, Inc.

      701 61,772
Expeditors International of Washington, Inc.

      849 105,947
FedEx Corp.

    1,361 408,082
United Parcel Service, Inc., Class B

    4,385 600,087
      1,175,888
Automobile Components — 0.1%
Aptiv PLC(a)

    1,635 115,137
BorgWarner, Inc.

    1,339 43,169
      158,306
Automobiles — 1.6%
Ford Motor Co.

   23,609 296,057
General Motors Co.

    6,860 318,716
Tesla, Inc.(a)

   16,682 3,301,034
      3,915,807
Banks — 3.0%
Bank of America Corp.

   40,906 1,626,832
Citigroup, Inc.

   11,468 727,759
Citizens Financial Group, Inc.

  2,777 100,055
Fifth Third Bancorp

  4,135 150,886
Huntington Bancshares, Inc.

  8,680 114,402
JPMorgan Chase & Co.

  17,265 3,492,019
KeyCorp

  5,736 81,508
M&T Bank Corp.

  997 150,906
PNC Financial Services Group, Inc. (The)

  2,395 372,375
Regions Financial Corp.

  5,490 110,020
Truist Financial Corp.

  8,045 312,548
U.S. Bancorp

  9,347 371,076
      7,610,386
Beverages — 1.4%
Brown-Forman Corp., Class B, NVS

  1,097 47,379
Coca-Cola Co. (The)

  23,318 1,484,191
Constellation Brands, Inc., Class A

  970 249,562
Keurig Dr. Pepper, Inc.

  6,241 208,449
Molson Coors Beverage Co., Class B

  1,119 56,879
Monster Beverage Corp.(a)

  4,243 211,938
PepsiCo, Inc.

  8,265 1,363,146
      3,621,544
Biotechnology — 2.1%
AbbVie, Inc.

  10,617 1,821,028
Amgen, Inc.

  3,225 1,007,651
Biogen, Inc.(a)

  876 203,074
Gilead Sciences, Inc.

  7,491 513,958
Incyte Corp.(a)

  1,108 67,167
Moderna, Inc.(a)

  2,011 238,806
Regeneron Pharmaceuticals, Inc.(a)

  638 670,557
Vertex Pharmaceuticals, Inc.(a)

  1,551 726,985
      5,249,226
Broadline Retail — 4.3%
Amazon.com, Inc.(a)

  55,059 10,640,152
eBay, Inc.

  3,043 163,470
Etsy, Inc.(a)

  721 42,524
      10,846,146
Security   Shares Value
Building Products — 0.5%
A. O. Smith Corp.

      726 $  59,372
Allegion PLC

      517 61,084
Builders FirstSource, Inc.(a)

      745 103,115
Carrier Global Corp.

    5,050 318,554
Johnson Controls International PLC

    4,070 270,533
Masco Corp.

    1,306 87,071
Trane Technologies PLC

    1,359 447,016
      1,346,745
Capital Markets — 2.9%
Ameriprise Financial, Inc.

      600 256,314
Bank of New York Mellon Corp. (The)

    4,497 269,325
BlackRock, Inc.(b)

      837 658,987
Blackstone, Inc., Class A, NVS

    4,312 533,826
Cboe Global Markets, Inc.

      627 106,628
Charles Schwab Corp. (The)

    8,976 661,441
CME Group, Inc., Class A

    2,158 424,263
FactSet Research Systems, Inc.

      229 93,494
Franklin Resources, Inc.

    1,798 40,185
Goldman Sachs Group, Inc. (The)

    1,939 877,049
Intercontinental Exchange, Inc.

    3,448 471,997
Invesco Ltd.

    2,719 40,676
MarketAxess Holdings, Inc.

      230 46,122
Moody’s Corp.

      941 396,095
Morgan Stanley

  7,523 731,160
MSCI, Inc., Class A

  473 227,868
Nasdaq, Inc.

  2,272 136,911
Northern Trust Corp.

  1,243 104,387
Raymond James Financial, Inc.

  1,128 139,432
S&P Global, Inc.

  1,926 858,996
State Street Corp.

  1,809 133,866
T Rowe Price Group, Inc.

  1,340 154,515
      7,363,537
Chemicals — 1.5%
Air Products & Chemicals, Inc.

  1,340 345,787
Albemarle Corp.

  710 67,819
Celanese Corp., Class A

  597 80,529
CF Industries Holdings, Inc.

  1,128 83,607
Corteva, Inc.

  4,184 225,685
Dow, Inc.

  4,231 224,455
Eastman Chemical Co.

  693 67,893
Ecolab, Inc.

  1,523 362,474
FMC Corp.

  749 43,105
International Flavors & Fragrances, Inc.

  1,543 146,909
Linde PLC

  2,890 1,268,161
LyondellBasell Industries NV, Class A

  1,537 147,030
Mosaic Co. (The)

  1,934 55,893
PPG Industries, Inc.

  1,406 177,001
Sherwin-Williams Co. (The)

  1,409 420,488
      3,716,836
Commercial Services & Supplies — 0.6%
Cintas Corp.

  519 363,435
Copart, Inc.(a)

  5,245 284,069
Republic Services, Inc.

  1,230 239,038
Rollins, Inc.

  1,686 82,260
Veralto Corp.

  1,316 125,638
Waste Management, Inc.

  2,193 467,855
      1,562,295
Communications Equipment — 0.9%
Arista Networks, Inc.(a)

  1,526 534,832
Cisco Systems, Inc.

  24,305 1,154,731
F5, Inc.(a)

  349 60,108
 
1

Schedule of Investments (unaudited)  (continued)
June 30, 2024
iShares® ESG Screened S&P 500 ETF
(Percentages shown are based on Net Assets)
Security   Shares Value
Communications Equipment (continued)
Juniper Networks, Inc.

    1,939 $  70,696
Motorola Solutions, Inc.

    1,003 387,208
      2,207,575
Construction & Engineering — 0.1%
Quanta Services, Inc.(c)

      883 224,361
Construction Materials — 0.2%
Martin Marietta Materials, Inc.

      370 200,466
Vulcan Materials Co.

      790 196,457
      396,923
Consumer Finance — 0.6%
American Express Co.

    3,418 791,438
Capital One Financial Corp.

    2,297 318,020
Discover Financial Services

    1,508 197,261
Synchrony Financial

    2,412 113,822
      1,420,541
Consumer Staples Distribution & Retail — 1.4%
Costco Wholesale Corp.

    2,667 2,266,924
Dollar General Corp.

    1,320 174,544
Dollar Tree, Inc.(a)

    1,251 133,569
Kroger Co. (The)

    4,024 200,918
Sysco Corp.

    2,985 213,099
Target Corp.

    2,782 411,847
Walgreens Boots Alliance, Inc.

    4,322 52,275
      3,453,176
Containers & Packaging — 0.2%
Amcor PLC

  8,637 84,470
Avery Dennison Corp.

  481 105,171
Ball Corp.

  1,899 113,978
International Paper Co.

  2,061 88,932
Packaging Corp. of America

  529 96,574
Westrock Co.

  1,541 77,451
      566,576
Distributors — 0.1%
Genuine Parts Co.

  844 116,742
LKQ Corp.

  1,580 65,712
Pool Corp.

  231 70,993
      253,447
Diversified Telecommunication Services — 0.7%
AT&T Inc.

  43,109 823,813
Verizon Communications, Inc.

  25,307 1,043,661
      1,867,474
Electric Utilities — 0.7%
Constellation Energy Corp.

  1,895 379,512
Edison International

  2,296 164,876
Entergy Corp.

  1,276 136,532
Eversource Energy

  2,131 120,849
Exelon Corp.

  6,030 208,698
NextEra Energy, Inc.

  12,352 874,645
      1,885,112
Electrical Equipment — 0.8%
AMETEK, Inc.

  1,386 231,060
Eaton Corp. PLC

  2,404 753,774
Emerson Electric Co.

  3,429 377,739
GE Vernova, Inc.(a)

  1,648 282,649
Generac Holdings, Inc.(a)

  374 49,450
Hubbell, Inc.

  323 118,050
Rockwell Automation, Inc.

  682 187,741
      2,000,463
Security   Shares Value
Electronic Equipment, Instruments & Components — 0.6%
Amphenol Corp., Class A

    7,223 $  486,613
CDW Corp.

      803 179,744
Corning, Inc.

    4,642 180,342
Jabil, Inc.

      725 78,873
Keysight Technologies, Inc.(a)

    1,050 143,587
TE Connectivity Ltd.

    1,847 277,844
Trimble, Inc.(a)

    1,473 82,370
Zebra Technologies Corp., Class A(a)

      305 94,224
      1,523,597
Energy Equipment & Services — 0.3%
Baker Hughes Co., Class A

    5,995 210,844
Halliburton Co.

    5,299 179,000
Schlumberger NV

    8,558 403,767
      793,611
Entertainment — 1.3%
Electronic Arts, Inc.

    1,471 204,955
Live Nation Entertainment, Inc.(a)

      855 80,148
Netflix, Inc.(a)

    2,592 1,749,289
Take-Two Interactive Software, Inc.(a)

      958 148,959
Walt Disney Co. (The)

   10,966 1,088,814
Warner Bros Discovery, Inc., Class A(a)

   13,227 98,409
      3,370,574
Financial Services — 4.2%
Berkshire Hathaway, Inc., Class B(a)

  10,884 4,427,611
Corpay, Inc.(a)

  422 112,425
Fidelity National Information Services, Inc.

  3,344 252,004
Fiserv, Inc.(a)

  3,518 524,323
Global Payments, Inc.

  1,534 148,338
Jack Henry & Associates, Inc.

  439 72,883
Mastercard, Inc., Class A

  4,936 2,177,566
PayPal Holdings, Inc.(a)

  6,289 364,950
Visa, Inc., Class A

  9,461 2,483,228
      10,563,328
Food Products — 0.8%
Archer-Daniels-Midland Co.

  2,972 179,657
Bunge Global SA

  869 92,783
Campbell Soup Co.

  1,180 53,324
Conagra Brands, Inc.

  2,863 81,367
General Mills, Inc.

  3,400 215,084
Hershey Co. (The)

  891 163,793
Hormel Foods Corp.

  1,770 53,967
J M Smucker Co. (The)

  633 69,022
Kellanova

  1,587 91,538
Kraft Heinz Co. (The)

  4,780 154,012
Lamb Weston Holdings, Inc.

  865 72,729
McCormick & Co., Inc., NVS

  1,509 107,049
Mondelez International, Inc., Class A

  8,075 528,428
Tyson Foods, Inc., Class A

  1,710 97,709
      1,960,462
Gas Utilities — 0.0%
Atmos Energy Corp.

  908 105,918
Ground Transportation — 1.1%
CSX Corp.

  11,753 393,138
JB Hunt Transport Services, Inc.

  486 77,760
Norfolk Southern Corp.

  1,359 291,764
Old Dominion Freight Line, Inc.

  1,071 189,138
Uber Technologies, Inc.(a)

  12,562 913,006
Union Pacific Corp.

  3,668 829,922
      2,694,728
 
2

Schedule of Investments (unaudited)  (continued)
June 30, 2024
iShares® ESG Screened S&P 500 ETF
(Percentages shown are based on Net Assets)
Security   Shares Value
Health Care Equipment & Supplies — 2.6%
Abbott Laboratories

   10,459 $  1,086,795
Align Technology, Inc.(a)

      421 101,642
Baxter International, Inc.

    3,047 101,922
Becton Dickinson & Co.

    1,738 406,188
Boston Scientific Corp.(a)

    8,839 680,691
Cooper Cos., Inc. (The)

    1,188 103,712
Dexcom, Inc.(a)(c)

    2,391 271,092
Edwards Lifesciences Corp.(a)

    3,627 335,026
GE HealthCare Technologies, Inc.

    2,566 199,943
Hologic, Inc.(a)

    1,410 104,693
IDEXX Laboratories, Inc.(a)

      495 241,164
Insulet Corp.(a)

      425 85,765
Intuitive Surgical, Inc.(a)

    2,132 948,420
Medtronic PLC

    7,989 628,814
ResMed, Inc.

      884 169,215
STERIS PLC

      596 130,846
Stryker Corp.

    2,038 693,429
Teleflex, Inc.

      281 59,103
Zimmer Biomet Holdings, Inc.

    1,243 134,903
      6,483,363
Health Care Providers & Services — 2.7%
Cardinal Health, Inc.

    1,456 143,154
Cencora, Inc.

      989 222,822
Centene Corp.(a)

  3,193 211,696
Cigna Group (The)

  1,708 564,614
CVS Health Corp.

  7,517 443,954
DaVita, Inc.(a)

  327 45,312
Elevance Health, Inc.

  1,397 756,979
HCA Healthcare, Inc.

  1,165 374,291
Henry Schein, Inc.(a)

  792 50,767
Humana, Inc.

  731 273,138
Labcorp Holdings, Inc.

  506 102,976
McKesson Corp.

  783 457,303
Molina Healthcare, Inc.(a)

  349 103,758
Quest Diagnostics, Inc.

  672 91,983
UnitedHealth Group, Inc.

  5,533 2,817,736
Universal Health Services, Inc., Class B

  367 67,869
      6,728,352
Health Care REITs — 0.3%
Alexandria Real Estate Equities, Inc.

  945 110,536
Healthpeak Properties, Inc.

  4,232 82,947
Ventas, Inc.

  2,445 125,331
Welltower, Inc.

  3,595 374,779
      693,593
Hotel & Resort REITs — 0.0%
Host Hotels & Resorts, Inc.

  4,197 75,462
Hotels, Restaurants & Leisure — 2.1%
Airbnb, Inc., Class A(a)

  2,655 402,578
Booking Holdings, Inc.

  204 808,146
Caesars Entertainment, Inc.(a)

  1,300 51,662
Carnival Corp.(a)

  6,087 113,949
Chipotle Mexican Grill, Inc.(a)

  8,281 518,805
Darden Restaurants, Inc.

  719 108,799
Domino’s Pizza, Inc.

  210 108,429
Expedia Group, Inc.(a)

  764 96,256
Hilton Worldwide Holdings, Inc.

  1,503 327,955
Las Vegas Sands Corp.

  2,232 98,766
Marriott International, Inc., Class A

  1,442 348,632
McDonald’s Corp.

  4,337 1,105,241
MGM Resorts International(a)

  1,508 67,016
Norwegian Cruise Line Holdings Ltd.(a)

  2,596 48,779
Security   Shares Value
Hotels, Restaurants & Leisure (continued)
Royal Caribbean Cruises Ltd.(a)(c)

    1,423 $  226,869
Starbucks Corp.

    6,810 530,158
Wynn Resorts Ltd.

      565 50,567
Yum! Brands, Inc.

    1,680 222,533
      5,235,140
Household Durables — 0.4%
DR Horton, Inc.

    1,791 252,406
Garmin Ltd.

      926 150,864
Lennar Corp., Class A

    1,478 221,508
Mohawk Industries, Inc.(a)

      307 34,872
NVR, Inc.(a)

       19 144,183
PulteGroup, Inc.

    1,276 140,487
      944,320
Household Products — 1.3%
Church & Dwight Co., Inc.

    1,475 152,928
Clorox Co. (The)

      755 103,035
Colgate-Palmolive Co.

    4,938 479,183
Kimberly-Clark Corp.

    2,018 278,888
Procter & Gamble Co. (The)

   14,190 2,340,215
      3,354,249
Industrial REITs — 0.2%
Prologis, Inc.

    5,567 625,230
Insurance — 2.2%
Aflac, Inc.

  3,109 277,665
Allstate Corp. (The)

  1,592 254,179
American International Group, Inc.

  3,991 296,292
Aon PLC, Class A

  1,307 383,709
Arch Capital Group Ltd.(a)

  2,232 225,187
Arthur J. Gallagher & Co.

  1,314 340,733
Assurant, Inc.

  308 51,205
Brown & Brown, Inc.

  1,423 127,230
Chubb Ltd.

  2,442 622,905
Cincinnati Financial Corp.

  935 110,424
Globe Life, Inc.

  514 42,292
Hartford Financial Services Group, Inc. (The)

  1,787 179,665
Loews Corp.

  1,080 80,719
Marsh & McLennan Cos., Inc.

  2,962 624,153
MetLife, Inc.

  3,591 252,052
Principal Financial Group, Inc.

  1,305 102,377
Progressive Corp. (The)

  3,522 731,555
Prudential Financial, Inc.

  2,158 252,896
Travelers Cos., Inc. (The)

  1,377 279,999
W R Berkley Corp.

  1,223 96,103
Willis Towers Watson PLC

  613 160,692
      5,492,032
Interactive Media & Services — 7.3%
Alphabet, Inc., Class A

  35,316 6,432,809
Alphabet, Inc., Class C, NVS

  29,380 5,388,880
Match Group, Inc.(a)

  1,602 48,669
Meta Platforms, Inc., Class A

  13,175 6,643,098
      18,513,456
IT Services — 1.1%
Accenture PLC, Class A

  3,780 1,146,890
Akamai Technologies, Inc.(a)

  916 82,513
Cognizant Technology Solutions Corp., Class A

  2,986 203,048
EPAM Systems, Inc.(a)

  350 65,839
Gartner, Inc.(a)

  466 209,262
International Business Machines Corp.

  5,523 955,203
VeriSign, Inc.(a)

  524 93,167
      2,755,922
 
3

Schedule of Investments (unaudited)  (continued)
June 30, 2024
iShares® ESG Screened S&P 500 ETF
(Percentages shown are based on Net Assets)
Security   Shares Value
Leisure Products — 0.0%
Hasbro, Inc.

      798 $  46,683
Life Sciences Tools & Services — 1.3%
Agilent Technologies, Inc.

    1,753 227,241
Bio-Rad Laboratories, Inc., Class A(a)

      127 34,685
Bio-Techne Corp.

      940 67,351
Charles River Laboratories International, Inc.(a)

      310 64,040
Danaher Corp.

    3,963 990,155
IQVIA Holdings, Inc.(a)

    1,094 231,315
Mettler-Toledo International, Inc.(a)

      130 181,687
Revvity, Inc.

      736 77,177
Thermo Fisher Scientific, Inc.

    2,295 1,269,135
Waters Corp.(a)

      355 102,993
West Pharmaceutical Services, Inc.

      438 144,273
      3,390,052
Machinery — 1.8%
Caterpillar, Inc.

    2,940 979,314
Cummins, Inc.

      825 228,467
Deere & Co.

    1,555 580,995
Dover Corp.

      826 149,052
Fortive Corp.

    2,127 157,611
IDEX Corp.

      452 90,942
Illinois Tool Works, Inc.

    1,637 387,904
Ingersoll Rand, Inc.

    2,418 219,651
Nordson Corp.

  329 76,308
Otis Worldwide Corp.

  2,428 233,719
PACCAR, Inc.

  3,152 324,467
Parker-Hannifin Corp.

  771 389,979
Pentair PLC

  991 75,980
Snap-on, Inc.

  312 81,554
Stanley Black & Decker, Inc.

  924 73,818
Westinghouse Air Brake Technologies Corp.

  1,060 167,533
Xylem, Inc.

  1,458 197,749
      4,415,043
Media — 0.6%
Charter Communications, Inc., Class A(a)

  593 177,283
Comcast Corp., Class A

  23,533 921,552
Fox Corp., Class A, NVS

  1,452 49,905
Fox Corp., Class B

  833 26,673
Interpublic Group of Cos., Inc. (The)

  2,293 66,703
News Corp., Class A, NVS

  2,249 62,005
News Corp., Class B

  648 18,397
Omnicom Group, Inc.

  1,192 106,923
Paramount Global, Class B, NVS

  2,885 29,975
      1,459,416
Metals & Mining — 0.4%
Freeport-McMoRan, Inc.

  8,601 418,009
Newmont Corp.

  6,933 290,285
Nucor Corp.

  1,442 227,951
Steel Dynamics, Inc.

  903 116,938
      1,053,183
Multi-Utilities — 0.3%
CenterPoint Energy, Inc.

  3,846 119,149
Consolidated Edison, Inc.

  2,065 184,652
Public Service Enterprise Group, Inc.

  3,000 221,100
Sempra

  3,805 289,409
      814,310
Office REITs — 0.0%
BXP, Inc.

  854 52,572
Security   Shares Value
Oil, Gas & Consumable Fuels — 0.8%
Kinder Morgan, Inc.

   11,569 $  229,876
Marathon Petroleum Corp.

    2,118 367,431
ONEOK, Inc.

    3,510 286,240
Phillips 66

    2,549 359,842
Targa Resources Corp.

    1,325 170,634
Valero Energy Corp.

    1,966 308,190
Williams Cos., Inc. (The)

    7,342 312,035
      2,034,248
Passenger Airlines — 0.2%
American Airlines Group, Inc.(a)

    3,919 44,402
Delta Air Lines, Inc.

    3,900 185,016
Southwest Airlines Co.

    3,586 102,596
United Airlines Holdings, Inc.(a)

    1,964 95,568
      427,582
Personal Care Products — 0.1%
Estee Lauder Cos., Inc. (The), Class A

    1,404 149,386
Pharmaceuticals — 3.3%
Bristol-Myers Squibb Co.

   12,162 505,088
Catalent, Inc.(a)

    1,069 60,110
Eli Lilly & Co.

    4,800 4,345,824
Merck & Co., Inc.

   15,228 1,885,226
Pfizer, Inc.

   34,069 953,251
Viatris, Inc.

    7,278 77,365
Zoetis, Inc., Class A

  2,750 476,740
      8,303,604
Professional Services — 0.6%
Automatic Data Processing, Inc.

  2,465 588,371
Broadridge Financial Solutions, Inc.

  712 140,264
Dayforce, Inc.(a)(c)

  936 46,425
Equifax, Inc.

  745 180,633
Paychex, Inc.

  1,916 227,161
Paycom Software, Inc.

  284 40,623
Verisk Analytics, Inc.

  858 231,274
      1,454,751
Real Estate Management & Development — 0.1%
CBRE Group, Inc., Class A(a)

  1,813 161,556
CoStar Group, Inc.(a)

  2,470 183,126
      344,682
Residential REITs — 0.3%
AvalonBay Communities, Inc.

  855 176,891
Camden Property Trust

  640 69,830
Equity Residential

  2,079 144,158
Essex Property Trust, Inc.

  382 103,981
Invitation Homes, Inc.

  3,471 124,574
Mid-America Apartment Communities, Inc.

  702 100,112
UDR, Inc.

  1,791 73,700
      793,246
Retail REITs — 0.3%
Federal Realty Investment Trust

  451 45,537
Kimco Realty Corp.

  3,990 77,645
Realty Income Corp.

  5,235 276,513
Regency Centers Corp.

  989 61,516
Simon Property Group, Inc.

  1,951 296,162
      757,373
Semiconductors & Semiconductor Equipment — 13.2%
Advanced Micro Devices, Inc.(a)

  9,718 1,576,357
Analog Devices, Inc.

  2,981 680,443
Applied Materials, Inc.

  4,995 1,178,770
Broadcom, Inc.

  2,619 4,204,883
 
4

Schedule of Investments (unaudited)  (continued)
June 30, 2024
iShares® ESG Screened S&P 500 ETF
(Percentages shown are based on Net Assets)
Security   Shares Value
Semiconductors & Semiconductor Equipment (continued)
Enphase Energy, Inc.(a)

      825 $  82,261
First Solar, Inc.(a)

      640 144,294
Intel Corp.

   25,594 792,646
KLA Corp.

      809 667,029
Lam Research Corp.

      784 834,843
Microchip Technology, Inc.

    3,259 298,199
Micron Technology, Inc.

    6,658 875,727
Monolithic Power Systems, Inc.

      293 240,752
NVIDIA Corp.

  147,892 18,270,578
NXP Semiconductors NV

    1,546 416,013
ON Semiconductor Corp.(a)

    2,591 177,613
Qorvo, Inc.(a)

      584 67,767
QUALCOMM, Inc.

    6,722 1,338,888
Skyworks Solutions, Inc.

      961 102,423
Teradyne, Inc.

      938 139,096
Texas Instruments, Inc.

    5,474 1,064,857
      33,153,439
Software — 11.8%
Adobe, Inc.(a)

    2,694 1,496,625
ANSYS, Inc.(a)

      522 167,823
Autodesk, Inc.(a)

    1,279 316,489
Cadence Design Systems, Inc.(a)

    1,637 503,787
Fair Isaac Corp.(a)

      150 223,299
Fortinet, Inc.(a)

  3,805 229,327
Gen Digital, Inc.

  3,333 83,258
Intuit, Inc.

  1,683 1,106,084
Microsoft Corp.

  44,685 19,971,961
Oracle Corp.

  9,584 1,353,261
Palo Alto Networks, Inc.(a)

  1,943 658,696
PTC, Inc.(a)

  717 130,257
Roper Technologies, Inc.

  644 362,997
Salesforce, Inc.

  5,839 1,501,207
ServiceNow, Inc.(a)

  1,233 969,964
Synopsys, Inc.(a)

  917 545,670
Tyler Technologies, Inc.(a)

  257 129,215
      29,749,920
Specialized REITs — 1.0%
American Tower Corp.

  2,808 545,819
Crown Castle, Inc.

  2,607 254,704
Digital Realty Trust, Inc.

  1,952 296,801
Equinix, Inc.

  570 431,262
Extra Space Storage, Inc.

  1,265 196,594
Iron Mountain, Inc.

  1,787 160,151
Public Storage

  955 274,706
SBA Communications Corp., Class A

  641 125,828
VICI Properties, Inc.

  6,231 178,456
Weyerhaeuser Co.

  4,342 123,269
      2,587,590
Specialty Retail — 2.0%
AutoZone, Inc.(a)

  104 308,266
Bath & Body Works, Inc.

  1,342 52,405
Best Buy Co., Inc.

  1,157 97,524
CarMax, Inc.(a)

  956 70,113
Home Depot, Inc. (The)

  5,953 2,049,261
Lowe’s Cos., Inc.

  3,441 758,603
Security   Shares Value
Specialty Retail (continued)
O’Reilly Automotive, Inc.(a)

      353 $  372,789
Ross Stores, Inc.

    2,020 293,546
TJX Cos., Inc. (The)

    6,831 752,093
Tractor Supply Co.

      643 173,610
Ulta Beauty, Inc.(a)

      293 113,060
      5,041,270
Technology Hardware, Storage & Peripherals — 7.6%
Apple Inc.

   86,661 18,252,540
Hewlett Packard Enterprise Co.

    7,760 164,279
HP, Inc.

    5,196 181,964
NetApp, Inc.

    1,232 158,682
Seagate Technology Holdings PLC

    1,164 120,206
Super Micro Computer, Inc.(a)

      302 247,444
Western Digital Corp.(a)

    1,964 148,812
      19,273,927
Textiles, Apparel & Luxury Goods — 0.4%
Deckers Outdoor Corp.(a)

      155 150,032
Lululemon Athletica, Inc.(a)

      689 205,804
NIKE, Inc., Class B

    7,277 548,468
Ralph Lauren Corp., Class A

      231 40,439
Tapestry, Inc.

    1,351 57,809
      1,002,552
Trading Companies & Distributors — 0.2%
Fastenal Co.

  3,449 216,735
United Rentals, Inc.

  404 261,279
      478,014
Water Utilities — 0.1%
American Water Works Co., Inc.

  1,172 151,376
Wireless Telecommunication Services — 0.2%
T-Mobile U.S., Inc.

  3,100 546,158
Total Long-Term Investments — 99.8%

(Cost: $227,016,730)

251,590,780
Short-Term Securities
Money Market Funds — 0.5%
BlackRock Cash Funds: Institutional, SL Agency Shares, 5.48%(b)(d)(e)

  761,773 762,077
BlackRock Cash Funds: Treasury, SL Agency Shares, 5.28%(b)(d)

  395,510 395,510
Total Short-Term Securities — 0.5%

(Cost: $1,157,500)

1,157,587
Total Investments — 100.3%

(Cost: $228,174,230)

252,748,367
Liabilities in Excess of Other Assets — (0.3)%

(643,890)
Net Assets — 100.0%

$  252,104,477
(a) Non-income producing security.
(b) Affiliate of the Fund.
(c) All or a portion of this security is on loan.
(d) Annualized 7-day yield as of period end.
(e) All or a portion of this security was purchased with the cash collateral from loaned securities.
 
5

Schedule of Investments (unaudited)  (continued)
June 30, 2024
iShares® ESG Screened S&P 500 ETF
Affiliates
Investments in issuers considered to be affiliate(s) of the Fund during the period ended June 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
Affiliated Issuer Value at
03/31/24
Purchases
at Cost
Proceeds
from Sales
Net
Realized
Gain (Loss)
  Change in
Unrealized
Appreciation
(Depreciation)
  Value at
06/30/24
Shares
Held at
06/30/24
Income   Capital
Gain
Distributions
from Underlying
Funds
BlackRock Cash Funds: Institutional, SL Agency Shares

$  96,777 $  665,365(a) $   $  (119)   $  54   $  762,077 761,773 $  252(b)   $  
BlackRock Cash Funds: Treasury, SL Agency Shares

306,229 89,281(a)     395,510 395,510 5,437  
BlackRock, Inc.

732,822 37,715 (71,755) 9,583   (49,378)   658,987 837 4,304  
        $  9,464   $  (49,324)   $  1,816,574   $  9,993   $  
(a) Represents net amount purchased (sold).
(b) All or a portion represents securities lending income earned from the reinvestment of cash collateral from loaned securities, net of fees and collateral investment expenses, and other payments to and from borrowers of securities.
Derivative Financial Instruments Outstanding as of Period End
Futures Contracts
Description Number of
Contracts
Expiration
Date
Notional
Amount
(000)
Value/
Unrealized
Appreciation
(Depreciation)
Long Contracts        
Micro E-Mini S&P 500 Index

17 09/20/24 $  469 $  1,377
Fair Value Hierarchy as of Period End
Various inputs are used in determining the fair value of financial instruments. These inputs to valuation techniques are categorized into a fair value hierarchy consisting of three broad levels for financial reporting purposes as follows:
•    Level 1 — Unadjusted price quotations in active markets/exchanges for identical assets or liabilities that the Fund has the ability to access;
•    Level 2 — Other observable inputs (including, but not limited to, quoted prices for similar assets or liabilities in markets that are active, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the assets or liabilities (such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market–corroborated inputs); and
•    Level 3 — Unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Valuation Committee’s assumptions used in determining the fair value of financial instruments).
The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3. The inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the fair value hierarchy classification is determined based on the lowest level input that is significant to the fair value measurement in its entirety. Investments classified within Level 3 have significant unobservable inputs used by the Valuation Committee in determining the price for Fair Valued Investments. Level 3 investments include equity or debt issued by privately held companies or funds. There may not be a secondary market, and/or there are a limited number of investors. The categorization of a value determined for financial instruments is based on the pricing transparency of the financial instruments and is not necessarily an indication of the risks associated with investing in those securities. For information about the Fund’s policy regarding valuation of financial instruments, refer to its most recent financial statements.
6

Schedule of Investments (unaudited)  (continued)
June 30, 2024
iShares® ESG Screened S&P 500 ETF
Fair Value Hierarchy as of Period End (continued)
The following table summarizes the Fund’s financial instruments categorized in the fair value hierarchy. The breakdown of the Fund’s financial instruments into major categories is disclosed in the Schedule of Investments above.
  Level 1   Level 2   Level 3   Total
Assets              
Investments              
Long-Term Investments              
Common Stocks

$  251,590,780   $     $     $  251,590,780
Short-Term Securities              
Money Market Funds

1,157,587       1,157,587
  $  252,748,367   $     $     $  252,748,367
Derivative Financial Instruments(a)              
Assets              
Equity Contracts

$  1,377   $     $     $  1,377
(a) Derivative financial instruments are futures contracts. Futures contracts are valued at the unrealized appreciation (depreciation) on the instrument.
Portfolio Abbreviation 
NVS Non-Voting Shares
REIT Real Estate Investment Trust
7