ishares · full holdings · sec n-port

IWB holdings

iShares Russell 1000 ETF. IWB holds 1,024 securities. The 10 largest are 33% of the fund, and 31 names carry half of it.

Holdings as of June 30, 2026 · source: SEC Form N-PORT, filed August 24, 2026

concentrationdownload csv
holdings1,024
top 10 weight33.4%
names to reach half31
behaves like61 equal stocks
01Holdings

The 100 largest, in order

iwb holdingslargest 100 of 1,024
1NVIDIA CORPORATION logoNVDANVIDIA CORPORATION6.72%
2APPLE INC. logoAAPLAPPLE INC.6.03%
3MICROSOFT CORPORATION logoMSFTMICROSOFT CORPORATION3.99%
4AMAZON.COM, INC. logoAMZNAMAZON.COM, INC.3.33%
5ALPHABET INC CLASS A logoGOOGLALPHABET INC CLASS A3.00%
6BROADCOM INC. logoAVGOBROADCOM INC.2.53%
7ALPHABET INC logoGOOGALPHABET INC2.42%
8MICRON TECHNOLOGY, INC. logoMUMICRON TECHNOLOGY, INC.1.87%
9META PLATFORMS, INC. logoMETAMETA PLATFORMS, INC.1.78%
10TESLA, INC. logoTSLATESLA, INC.1.77%
11ELI LILLY AND COMPANY logoLLYELI LILLY AND COMPANY1.38%
12ADVANCED MICRO DEVICES, INC. logoAMDADVANCED MICRO DEVICES, INC.1.36%
13BERKSHIRE HATHAWAY INC. logoBRK-BBERKSHIRE HATHAWAY INC.1.34%
14JPMORGAN CHASE & CO. logoJPMJPMORGAN CHASE & CO.1.26%
15INTEL CORPORATION logoINTCINTEL CORPORATION0.88%
16JOHNSON & JOHNSON logoJNJJOHNSON & JOHNSON0.88%
17APPLIED MATERIALS, INC. logoAMATAPPLIED MATERIALS, INC.0.83%
18EX—EXXON MOBIL CORPORATION0.82%
19VISA INC. logoVVISA INC.0.82%
20LAM RESEARCH CORPORATION logoLRCXLAM RESEARCH CORPORATION0.78%
21WALMART INC. logoWMTWALMART INC.0.72%
22CATERPILLAR INC. logoCATCATERPILLAR INC.0.70%
23CISCO SYSTEMS, INC. logoCSCOCISCO SYSTEMS, INC.0.67%
24ABBVIE INC. logoABBVABBVIE INC.0.64%
25COSTCO WHOLESALE CORPORATION logoCOSTCOSTCO WHOLESALE CORPORATION0.60%
26MASTERCARD INCORPORATED logoMAMASTERCARD INCORPORATED0.60%
27KLA CORPORATION logoKLACKLA CORPORATION0.57%
28GENERAL ELECTRIC COMPANY logoGEGENERAL ELECTRIC COMPANY0.56%
29BANK OF AMERICA CORPORATION logoBACBANK OF AMERICA CORPORATION0.54%
30UNITEDHEALTH GROUP INCORPORATED logoUNHUNITEDHEALTH GROUP INCORPORATED0.54%
31THE HOME DEPOT, INC. logoHDTHE HOME DEPOT, INC.0.51%
32THE PROCTER & GAMBLE COMPANY logoPGTHE PROCTER & GAMBLE COMPANY0.49%
33SNSNDKSANDISK CORPORATION0.48%
34MERCK & CO., INC. logoMRKMERCK & CO., INC.0.46%
35GEGEVGE VERNOVA INC.0.46%
36THE COCA-COLA COMPANY logoKOTHE COCA-COLA COMPANY0.46%
37CHEVRON CORPORATION logoCVXCHEVRON CORPORATION0.44%
38NETFLIX, INC. logoNFLXNETFLIX, INC.0.43%
39THE GOLDMAN SACHS GROUP, INC. logoGSTHE GOLDMAN SACHS GROUP, INC.0.42%
40Philip Morris International Inc. logoPMPhilip Morris International Inc.0.41%
41PALO ALTO NETWORKS, INC. logoPANWPALO ALTO NETWORKS, INC.0.40%
42TEXAS INSTRUMENTS INCORPORATED logoTXNTEXAS INSTRUMENTS INCORPORATED0.39%
43INTERNATIONAL BUSINESS MACHINES CORPORATION logoIBMINTERNATIONAL BUSINESS MACHINES CORPORATION0.38%
44MRMRVLMARVELL TECHNOLOGY, INC.0.37%
45PALANTIR TECHNOLOGIES INC. logoPLTRPALANTIR TECHNOLOGIES INC.0.37%
46RTX CORPORATION logoRTXRTX CORPORATION0.37%
47WELLS FARGO & COMPANY logoWFCWELLS FARGO & COMPANY0.36%
48ORACLE CORPORATION logoORCLORACLE CORPORATION0.36%
49LINDE PUBLIC LIMITED COMPANY logoLINLINDE PUBLIC LIMITED COMPANY0.34%
50CITIGROUP INC. logoCCITIGROUP INC.0.34%
51MSMSMORGAN STANLEY0.34%
52AMPHENOL CORPORATION logoAPHAMPHENOL CORPORATION0.31%
53WESTERN DIGITAL CORPORATION logoWDCWESTERN DIGITAL CORPORATION0.31%
54GLGLWCORNING INCORPORATED0.29%
55AMGEN INC. logoAMGNAMGEN INC.0.28%
56QUALCOMM INCORPORATED logoQCOMQUALCOMM INCORPORATED0.28%
57ANALOG DEVICES, INC. logoADIANALOG DEVICES, INC.0.28%
58MCDONALD'S CORPORATION logoMCDMCDONALD'S CORPORATION0.28%
59CRCRWDCROWDSTRIKE HOLDINGS, INC.0.28%
60THERMO FISHER SCIENTIFIC INCORPORATED logoTMOTHERMO FISHER SCIENTIFIC INCORPORATED0.27%
61Pepsico, Inc. logoPEPPepsico, Inc.0.27%
62NEXTERA ENERGY, INC. logoNEENEXTERA ENERGY, INC.0.26%
63AMERICAN EXPRESS COMPANY logoAXPAMERICAN EXPRESS COMPANY0.26%
64ARISTA NETWORKS, INC. logoANETARISTA NETWORKS, INC.0.26%
65VERIZON COMMUNICATIONS INC. logoVZVERIZON COMMUNICATIONS INC.0.26%
66THE WALT DISNEY COMPANY logoDISTHE WALT DISNEY COMPANY0.25%
67THE TJX COMPANIES, INC. logoTJXTHE TJX COMPANIES, INC.0.24%
69BABATHE BOEING COMPANY0.24%
70UNUNPUNION PACIFIC CORPORATION0.23%
71WELLTOWER INC. logoWELLWELLTOWER INC.0.23%
72GILEAD SCIENCES, INC. logoGILDGILEAD SCIENCES, INC.0.23%
73ABBOTT LABORATORIES logoABTABBOTT LABORATORIES0.23%
74DEERE & COMPANY logoDEDEERE & COMPANY0.23%
75THE CHARLES SCHWAB CORPORATION logoSCHWTHE CHARLES SCHWAB CORPORATION0.22%
76BLACKROCK, INC. logoBLKBLACKROCK, INC.0.21%
77UBER TECHNOLOGIES, INC. logoUBERUBER TECHNOLOGIES, INC.0.20%
78AT&T INC. logoTAT&T INC.0.20%
79INTUITIVE SURGICAL, INC. logoISRGINTUITIVE SURGICAL, INC.0.20%
80BOOKING HOLDINGS INC. logoBKNGBOOKING HOLDINGS INC.0.20%
81PFIZER INC. logoPFEPFIZER INC.0.20%
82CVS HEALTH CORPORATION logoCVSCVS HEALTH CORPORATION0.19%
83DEDELLDELL TECHNOLOGIES INC.0.19%
84VRVRTVERTIV HOLDINGS CO0.19%
85PGPGRTHE PROGRESSIVE CORPORATION0.18%
86CONOCOPHILLIPS logoCOPCONOCOPHILLIPS0.18%
87VERTEX PHARMACEUTICALS INCORPORATED logoVRTXVERTEX PHARMACEUTICALS INCORPORATED0.18%
88PROLOGIS, INC. logoPLDPROLOGIS, INC.0.18%
89CAPITAL ONE FINANCIAL CORPORATION logoCOFCAPITAL ONE FINANCIAL CORPORATION0.18%
90SALESFORCE, INC. logoCRMSALESFORCE, INC.0.18%
91APAPPAPPLOVIN CORPORATION0.18%
92LOWE'S COMPANIES, INC. logoLOWLOWE'S COMPANIES, INC.0.18%
93PARKER-HANNIFIN CORPORATION logoPHPARKER-HANNIFIN CORPORATION0.18%
94S&P GLOBAL INC. logoSPGIS&P GLOBAL INC.0.17%
95DANAHER CORPORATION logoDHRDANAHER CORPORATION0.17%
96MOMOAltria Group, Inc.0.17%
97Chubb Limited logoCBChubb Limited0.17%
98BRISTOL-MYERS SQUIBB COMPANY logoBMYBRISTOL-MYERS SQUIBB COMPANY0.17%
99STARBUCKS CORPORATION logoSBUXSTARBUCKS CORPORATION0.17%
100STRYKER CORPORATION logoSYKSTRYKER CORPORATION0.16%

The other 924 are in the full CSV.

02Sectors

Where the money sits

sectorsshare of the fund
Information Technology35.0%
Financials11.3%
Communication Services9.5%
Industrials9.0%
Consumer Discretionary8.8%
Health Care8.6%
Consumer Staples4.2%
Utilities2.1%
Energy2.0%
Materials1.8%
Real Estate1.7%
Not classified5.9%
03Overlap

The funds that hold the most of the same IWB money

overlap66 funds compared
ITOT95%SCHX92%SCHB92%SPYM92%VTI90%SPY88%IVV88%VOO88%SPYG62%IWD59%
04Questions

IWB holdings: what people ask

questions4 answered

How many stocks does IWB hold?

1,024 securities, according to the Form N-PORT iShares filed with the SEC on August 24, 2026, holdings as of June 30, 2026.

What are IWB's top 10 holdings?

NVDA, AAPL, MSFT, AMZN, GOOGL, AVGO, GOOG, MU, META and TSLA. Together they are 33% of the fund.

How concentrated is IWB?

31 of its 1,024 holdings make up half of the fund. By weight it behaves like 61 equally weighted stocks.

Which ETFs overlap most with IWB?

ITOT (95%), SCHX (92%) and SCHB (92%), measured on the full holdings of each fund.

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Weights are from the fund's Form N-PORT, the report every US fund files with the SEC each quarter, as of June 30, 2026 and filed on August 24, 2026. The SEC publishes it up to 60 days after that date, so the fund may have traded since. They are a share of the fund's net assets; cash and derivatives (0.82%) are left out of the list. This page describes what the fund holds; it is not investment advice.