iShares U.S. Tech Independence Focused ETF
IETC
#1300
ETF rank
HK$6.86 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
HK$762.36
Share price
-1.58%
Change (1 day)
N/A
Change (1 year)

iShares U.S. Tech Independence Focused ETF - Holdings

Etf holdings as of January 29, 2026

Number of holdings: 89

Full holdings list

Weight %NameTickerShares Held
10.96%BROADCOM INCAVGO295750.00
10.70%PALANTIR TECHNOLOGIES INC CLASS APLTR628700.00
7.74%NVIDIA CORPNVDA358953.00
5.30%MICROSOFT CORPMSFT109021.00
4.76%ORACLE CORPORCL251360.00
4.50%AMAZON COM INCAMZN166082.00
3.43%SALESFORCE INCCRM143166.00
3.32%INTERNATIONAL BUSINESS MACHINES COIBM95775.00
2.99%ALPHABET INC CLASS AGOOGL78986.00
2.88%META PLATFORMS INC CLASS AMETA34838.00
2.49%APPLE INCAAPL85922.00
2.47%ALPHABET INC CLASS CGOOG65000.00
2.29%LAM RESEARCH CORPLRCX82368.00
2.06%BOEINGBA78598.00
1.96%ARISTA NETWORKS INCANET118280.00
1.78%INTERCONTINENTAL EXCHANGE INCICE90581.00
1.77%CISCO SYSTEMS INCCSCO200849.00
1.74%MOODYS CORPMCO30171.00
1.55%VERISIGN INCVRSN56781.00
1.55%ADVANCED MICRO DEVICES INCAMD54839.00
1.34%SYNOPSYS INCSNPS24963.00
1.32%MICRON TECHNOLOGY INCMU27095.00
1.31%MONOLITHIC POWER SYSTEMS INCMPWR9846.00
1.17%SERVICENOW INCNOW89771.00
1.15%ACCENTURE PLC CLASS AACN39281.00
1.01%FORTINET INCFTNT110909.00
0.96%ADOBE INCADBE29396.00
0.92%SS AND C TECHNOLOGIES HOLDINGS INCSSNC98959.00
0.85%UBER TECHNOLOGIES INCUBER92920.00
0.79%CROWDSTRIKE HOLDINGS INC CLASS ACRWD15889.00
0.75%DOCUSIGN INCDOCU123873.00
0.74%PURE STORAGE INC CLASS APSTG90960.00
0.73%KEYSIGHT TECHNOLOGIES INCKEYS29547.00
0.60%DYNATRACE INCDT141774.00
0.60%MOTOROLA SOLUTIONS INCMSI13251.00
0.54%COSTAR GROUP INCCSGP77235.00
0.45%PAYCHEX INCPAYX39705.00
0.42%CDW CORPCDW30160.00
0.40%INTUIT INCINTU7080.00
0.39%FIDELITY NATIONAL INFORMATION SERVFIS62959.00
0.37%WESTERN DIGITAL CORPWDC11772.00
0.36%CLOUDFLARE INC CLASS ANET17640.00
0.36%QUALCOMM INCQCOM20811.00
0.35%ASTERA LABS INCALAB19702.00
0.31%NETAPP INCNTAP28465.00
0.29%HUBSPOT INCHUBS9327.00
0.29%INTEL CORPORATION CORPINTC53663.00
0.29%ROBINHOOD MARKETS INC CLASS AHOOD25589.00
0.27%VERTIV HOLDINGS CLASS AVRT12410.00
0.27%BLOCK INC CLASS AXYZ38790.00
0.27%ATLASSIAN CORP CLASS ATEAM19930.00
0.25%TEXAS INSTRUMENT INCTXN10018.00
0.22%GARTNER INCIT9127.00
0.19%DIGITAL REALTY TRUST REIT INCDLR10200.00
0.18%STRATEGY INC CLASS AMSTR11387.00
0.17%MICROCHIP TECHNOLOGY INCMCHP19565.00
0.17%CIENA CORPCIEN6027.00
0.17%APPLOVIN CORP CLASS AAPP2658.00
0.16%ROBLOX CORP CLASS ARBLX19282.00
0.16%CREDO TECHNOLOGY GROUP HOLDING LTDCRDO11260.00
0.16%IQVIA HOLDINGS INCIQV5987.00
0.15%HEWLETT PACKARD ENTERPRISEHPE60587.00
0.15%RUBRIK INC CLASS ARBRK22846.00
0.15%COGNIZANT TECHNOLOGY SOLUTIONS CORCTSH16021.00
0.14%CARVANA CLASS ACVNA3004.00
0.14%BLK CSH FND TREASURY SL AGENCYXTSLA1235376.00
0.13%DOORDASH INC CLASS ADASH5791.00
0.11%BOOZ ALLEN HAMILTON HOLDING CORP CBAH11470.00
0.11%ZSCALER INCZS4840.00
0.11%IRON MOUNTAIN INCIRM10265.00
0.10%REDDIT INC CLASS ARDDT4829.00
0.10%COINBASE GLOBAL INC CLASS ACOIN4444.00
0.10%DELL TECHNOLOGIES INC CLASS CDELL7202.00
0.09%TRADE DESK INC CLASS ATTD25016.00
0.08%NUTANIX INC CLASS ANTNX19160.00
0.07%OMNICOM GROUP INCOMC7925.00
0.07%EQUINIX REIT INCEQIX711.00
0.05%SNAP INC CLASS ASNAP61343.00
0.05%MONGODB INC CLASS AMDB1113.00
0.05%FLEX LTDFLEX6245.00
0.03%SUPER MICRO COMPUTER INCSMCI8551.00
0.02%AXON ENTERPRISE INCAXON377.00
0.02%SNOWFLAKE INCSNOW916.00
0.01%RIVIAN AUTOMOTIVE INC CLASS ARIVN5545.00
0.01%GRAIL INCGRAL525.00
0.00%VISA INC CLASS AV24.00
0.00%ILLUMINA INCILMN32.00
0.00%DIGITALOCEAN HOLDINGS INCDOCN51.00
0.00%USD CASHUSD-21624.00