EWU holdings
All 74 positions of iShares MSCI United Kingdom ETF.
Positions
74
Top 10 weight
53.5%
Effective holdings
23.4
1 / sum of squared weights
In stocks
99.4%
In bonds
0.0%
Outside the US
99.4%
Asset mix
Sectors
38% of stocks classifiedCountries
Holdings
| # | Holding | Type | Weight | Value | Shares / par | Country |
|---|---|---|---|---|---|---|
| 1 | HSBAHSBC HOLDINGS PLC | Equity | 10.32% | $374M | 20,466,233 | GB |
| 2 | SHELShell plc American Depositary Shares (Each represents two Ordinary shares) | Equity | 9.53% | $345M | 6,897,078 | GB |
| 3 | AZNAstraZeneca PLC | Equity | 7.83% | $283M | 1,801,142 | GB |
| 4 | RR.ROLLS-ROYCE HOLDINGS PLC | Equity | 4.96% | $180M | 9,938,352 | GB |
| 5 | ULVRUNILEVER PLC | Equity | 4.34% | $157M | 2,565,803 | GB |
| 6 | BP.BP PLC | Equity | 4.00% | $145M | 18,702,710 | GB |
| 7 | BATSBRITISH AMERICAN TOBACCO | Equity | 3.62% | $131M | 2,383,758 | GB |
| 8 | RIORio Tinto plc | Equity | 3.26% | $118M | 1,270,584 | GB |
| 9 | GSKGSK plc American Depositary Shares (Each representing two Ordinary Shares) | Equity | 3.06% | $111M | 4,818,209 | GB |
| 10 | LLOYLLOYDS BANKING GROUP PLC | Equity | 2.55% | $92M | 69,289,069 | GB |
| 11 | BARCBARCLAYS PLC | Equity | 2.51% | $91M | 16,086,972 | GB |
| 12 | NG.NATIONAL GRID PLC | Equity | 2.50% | $90M | 5,926,447 | GB |
| 13 | BA.BAE SYSTEMS PLC | Equity | 2.34% | $85M | 3,489,732 | GB |
| 14 | GLENGLENCORE PLC | Equity | 2.32% | $84M | 11,184,280 | GB |
| 15 | NWGNatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) | Equity | 2.22% | $80M | 9,484,673 | GB |
| 16 | RELRELX PLC | Equity | 1.98% | $72M | 2,086,250 | GB |
| 17 | AALAmerican Airlines Group Inc. | Equity | 1.86% | $67M | 1,262,566 | GB |
| 18 | CPGCOMPASS GROUP PLC | Equity | 1.72% | $62M | 2,025,287 | GB |
| 19 | LSEGLONDON STOCK EXCHANGE GROUP PLC | Equity | 1.62% | $59M | 523,433 | GB |
| 20 | STANSTANDARD CHARTERED PLC | Equity | 1.61% | $58M | 2,087,690 | GB |
| 21 | DGEDIAGEO PLC | Equity | 1.57% | $57M | 2,651,941 | GB |
| 22 | RKTRocket Companies, Inc. | Equity | 1.40% | $51M | 756,373 | GB |
| 23 | TSCOTractor Supply Co | Equity | 1.37% | $49M | 7,466,051 | GB |
| 24 | HLNHaleon plc American Depositary Shares (Each representing two Ordinary Shares) | Equity | 1.32% | $48M | 10,495,286 | GB |
| 25 | SSESSE PLC | Equity | 1.29% | $47M | 1,444,004 | GB |
| 26 | EXPNHorizon Expansion Leaders ETF | Equity | 1.00% | $36M | 1,058,648 | GB |
| 27 | IIIInformation Services Group, Inc. | Equity | 0.98% | $36M | 1,144,237 | GB |
| 28 | PRUPrudential Financial, Inc. | Equity | 0.97% | $35M | 2,986,489 | GB |
| 29 | VODVodafone Group PLC | Equity | 0.97% | $35M | 21,266,400 | GB |
| 30 | AV.AVIVA PLC | Equity | 0.88% | $32M | 3,566,517 | GB |
| 31 | IMBIMPERIAL BRANDS PLC | Equity | 0.83% | $30M | 868,299 | GB |
| 32 | IHGInterContinental Hotels Group Plc | Equity | 0.73% | $26M | 168,150 | GB |
| 33 | NXTNextpower Inc. Common Stock | Equity | 0.72% | $26M | 135,752 | GB |
| 34 | LGENLEGAL AND GENERAL GROUP PLC | Equity | 0.64% | $23M | 6,105,124 | GB |
| 35 | HLMAHALMA PLC | Equity | 0.56% | $20M | 440,943 | GB |
| 36 | ANTOANTOFAGASTA PLC | Equity | 0.54% | $20M | 411,026 | GB |
| 37 | GBPGBP CASH | Cash | 0.53% | $19M | 14,382,757 | GB |
| 38 | BT.ABT GROUP PLC | Equity | 0.49% | $18M | 6,832,643 | GB |
| 39 | INFINFORMA PLC | Equity | 0.49% | $18M | 1,504,044 | GB |
| 40 | SGROSEGRO REIT PLC | Equity | 0.48% | $17M | 1,452,596 | GB |
| 41 | UU.UNITED UTILITIES GROUP PLC | Equity | 0.46% | $17M | 885,912 | GB |
| 42 | DPLMDIPLOMA PLC | Equity | 0.45% | $16M | 160,315 | GB |
| 43 | ADMArcher Daniels Midland Company | Equity | 0.41% | $15M | 308,613 | GB |
| 44 | SGETHE SAGE GROUP | Equity | 0.41% | $15M | 1,085,749 | GB |
| 45 | ITRKINTERTEK GROUP PLC | Equity | 0.40% | $14M | 183,738 | GB |
| 46 | BNZLBUNZL | Equity | 0.38% | $14M | 388,175 | GB |
| 47 | EDVVanguard World Funds Extended Duration ETF | Equity | 0.38% | $14M | 252,826 | GB |
| 48 | CCHCOCA COLA HBC AG | Equity | 0.37% | $13M | 237,604 | GB |
| 49 | SVTServotronics, Inc. | Equity | 0.37% | $13M | 324,426 | GB |
| 50 | MKSMARKS AND SPENCER GROUP PLC | Equity | 0.36% | $13M | 2,456,061 | GB |
| 51 | SMINiShares MSCI India Small-Cap ETF | Equity | 0.36% | $13M | 358,559 | GB |
| 52 | SN.SMITH AND NEPHEW PLC | Equity | 0.33% | $12M | 904,486 | GB |
| 53 | RTORentokil Initial plc American Depositary Shares (each representing five (5) Ordinary Shares) | Equity | 0.33% | $12M | 2,999,023 | GB |
| 54 | MNGM&G PLC | Equity | 0.30% | $11M | 2,665,596 | GB |
| 55 | CNACNA Financial Corporation | Equity | 0.29% | $11M | 5,484,393 | GB |
| 56 | WISEThemes Generative Artificial Intelligence ETF | Equity | 0.27% | $9.8M | 855,901 | GB |
| 57 | PSONPEARSON PLC | Equity | 0.26% | $9.4M | 558,233 | GB |
| 58 | SDLFSTANDARD LIFE PLC | Equity | 0.26% | $9.3M | 840,215 | GB |
| 59 | SBRYSAINSBURY(J) PLC | Equity | 0.24% | $8.8M | 1,992,869 | GB |
| 60 | MROMELROSE INDUSTRIES PLC | Equity | 0.24% | $8.7M | 1,493,118 | GB |
| 61 | KGFKINGFISHER PLC | Equity | 0.23% | $8.5M | 1,981,701 | GB |
| 62 | ABFASSOCIATED BRITISH FOODS PLC | Equity | 0.23% | $8.2M | 337,917 | GB |
| 63 | SPXSPIRAX GROUP PLC | Equity | 0.22% | $8.1M | 87,724 | GB |
| 64 | FRESFRESNILLO PLC | Equity | 0.22% | $7.9M | 221,657 | GB |
| 65 | LANDGladstone Land Corporation | Equity | 0.22% | $7.8M | 986,233 | GB |
| 66 | AAFAIRTEL AFRICA PLC | Equity | 0.10% | $3.8M | 919,880 | GB |
| 67 | XTSLABLK CSH FND TREASURY SL AGENCY | Cash | 0.05% | $1.7M | 1,650,459 | US |
| 68 | UBFUTCASH COLLATERAL GBP UBFUT | Cash | 0.03% | $1.1M | 821,000 | GB |
| 69 | EUREUR CASH | Cash | 0.00% | $88K | 78,201 | EU |
| 70 | AUDAUD CASH | Cash | 0.00% | $20K | 28,389 | AU |
| 71 | ETD USD BALANCE WITH R93531 | Cash | 0.00% | $3 | 3 | US |
| 72 | NMCNMC HEALTH PLC | Equity | 0.00% | $2 | 122,262 | GB |
| 73 | FTSE 100 INDEX DEC 26 | Derivative | 0.00% | $0 | 146 | GB |
| 74 | USDProShares Ultra Semiconductors | Cash | -0.04% | −$1.5M | -1,522,470 | US |
Find which other funds hold a stock by opening it and choosing "ETFs holding".
Position changes between reports
| Action | Holding | Weight before | Weight after | Shares vs flows | Between reports |
|---|---|---|---|---|---|
| New position | SUNBSUNBELT RENTALS HOLDINGS, INC. | — | 1.02% | — | Feb 28, 2026 → May 31, 2026 SEC |
| Exit | Ashtead Group PLC | 0.89% | — | — | Feb 28, 2026 → May 31, 2026 SEC |
| New position | Wise Group PLC | — | 0.26% | — | Feb 28, 2026 → May 31, 2026 SEC |
| Exit | Wise PLC | 0.23% | — | — | Feb 28, 2026 → May 31, 2026 SEC |
| Exit | DCC PLC | 0.17% | — | — | Feb 28, 2026 → May 31, 2026 SEC |
| New position | AIRTEL AFRICA PLC | — | 0.13% | — | Feb 28, 2026 → May 31, 2026 SEC |
| Exit | Hikma Pharmaceuticals PLC | 0.09% | — | — | Feb 28, 2026 → May 31, 2026 SEC |
Share-count changes are measured after removing what creations and redemptions explain.
Fund data comes from each fund's SEC filings and issuer disclosures and is shown with the date it is as of. SEC portfolio and flow filings become public about 60 days after the period they cover. Nothing here is investment advice; see Terms.