iShares MSCI United Kingdom ETF
EWU
#637
ETF rank
C$4.14 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
C$64.03
Share price
-0.89%
Change (1 day)
25.45%
Change (1 year)

iShares MSCI United Kingdom ETF - Holdings

Etf holdings as of February 10, 2026

Number of holdings: 82

Full holdings list

Weight %NameTickerShares Held
9.48%
HSBC HOLDINGS PLCHSBA16011406.00
9.27%
ASTRAZENECA PLCAZN1442313.00
6.92%
SHELL PLCSHEL5387495.00
4.82%
UNILEVER PLCULVR2027117.00
4.41%
ROLLS-ROYCE HOLDINGS PLCRR.7828103.00
4.03%
BRITISH AMERICAN TOBACCOBATS2033293.00
3.72%
GLAXOSMITHKLINEGSK3780596.00
3.37%
RIO TINTO PLCRIO1049845.00
2.98%
BP PLCBP.14633545.00
2.79%
BARCLAYS PLCBARC12986905.00
2.70%
NATIONAL GRID PLCNG.4614662.00
2.57%
LLOYDS BANKING GROUP PLCLLOY55064664.00
2.44%
BAE SYSTEMS PLCBA.2794910.00
2.11%
GLENCORE PLCGLEN9349507.00
2.05%
NATWEST GROUP PLCNWG7473513.00
1.73%
RECKITT BENCKISER GROUP PLCRKT602251.00
1.70%
DIAGEO PLCDGE2070771.00
1.69%
ANGLO AMERICAN PLCAAL1040923.00
1.65%
RELX PLCREL1697570.00
1.51%
COMPASS GROUP PLCCPG1578786.00
1.50%
HALEON PLCHLN8283866.00
1.47%
STANDARD CHARTERED PLCSTAN1810062.00
1.45%
LONDON STOCK EXCHANGE GROUP PLCLSEG434552.00
1.38%
3I GROUP PLCIII923901.00
1.30%
SSE PLCSSE1121874.00
1.27%
PRUDENTIAL PLCPRU2385247.00
1.26%
TESCO PLCTSCO6047335.00
1.06%
IMPERIAL BRANDS PLCIMB713167.00
0.96%
EXPERIAN PLCEXPN853425.00
0.90%
VODAFONE GROUP PLCVOD17764871.00
0.89%
ASHTEAD GROUP PLCAHT392436.00
0.81%
AVIVA PLCAV.2843376.00
0.65%
INTERCONTINENTAL HOTELS GROUP PLCIHG134296.00
0.64%
LEGAL AND GENERAL GROUP PLCLGEN5296922.00
0.63%
NEXT PLCNXT108332.00
0.61%
ANTOFAGASTA PLCANTO366813.00
0.58%
HALMA PLCHLMA353683.00
0.50%
RENTOKIL INITIAL PLCRTO2354439.00
0.50%
BT GROUP PLCBT.A5567417.00
0.47%
INFORMA PLCINF1207124.00
0.44%
SMITH AND NEPHEW PLCSN.747790.00
0.43%
GBP CASHGBP9411316.00
0.41%
SEGRO REIT PLCSGRO1196386.00
0.41%
COCA COLA HBC AGCCH203137.00
0.38%
CENTRICA PLCCNA4378484.00
0.37%
UNITED UTILITIES GROUP PLCUU.632366.00
0.36%
ENDEAVOUR MININGEDV179161.00
0.36%
SMITHS GROUP PLCSMIN305543.00
0.36%
FRESNILLO PLCFRES206065.00
0.34%
SEVERN TRENT PLCSVT251327.00
0.34%
THE SAGE GROUP PLCSGE893806.00
0.34%
MELROSE INDUSTRIES PLCMRO1170725.00
0.33%
MARKS AND SPENCER GROUP PLCMKS1920401.00
0.30%
M&G PLCMNG2131316.00
0.30%
ADMIRAL GROUP PLCADM240337.00
0.30%
BUNZLBNZL301667.00
0.30%
INTERTEK GROUP PLCITRK143228.00
0.27%
ASSOCIATED BRITISH FOODS PLCABF298820.00
0.26%
KINGFISHER PLCKGF1622935.00
0.25%
WISE PLC CLASS AWISE620695.00
0.24%
SAINSBURY(J) PLCSBRY1595049.00
0.24%
SPIRAX GROUP PLCSPX68585.00
0.22%
BARRATT REDROW PLCBTRW1255455.00
0.22%
PEARSON PLCPSON534738.00
0.22%
PHOENIX GROUP HOLDINGS PLCPHNX654802.00
0.20%
WHITBREAD PLCWTB160669.00
0.20%
LAND SECURITIES GROUP REIT PLCLAND657948.00
0.18%
DCC PLCDCC79856.00
0.18%
AUTOTRADER GROUP PLCAUTO809509.00
0.16%
ENTAIN PLCENT563386.00
0.14%
SCHRODERS PLCSDR679543.00
0.11%
HIKMA PHARMACEUTICALS PLCHIK153326.00
0.09%
JD SPORTS FASHION PLCJD.2367602.00
0.04%
BLK CSH FND TREASURY SL AGENCYXTSLA1240000.00
0.02%
CASH COLLATERAL GBP SGAFTSGAFT538000.00
0.00%
EUR CASHEUR57882.00
0.00%
ETD GBP BALANCE WITH R93531ETD_GBP0.00
0.00%
ETD USD BALANCE WITH R93531ETD_USD3.00
0.00%
CHF CASHCHF82.00
0.00%
NMC HEALTH PLCNMC122262.00
0.00%
FTSE 100 INDEX MAR 26Z H693.00
-0.05%
USD CASHUSD-1560808.00