EWUS holdings

All 199 positions of iShares MSCI United Kingdom Small-Cap ETF.

Positions
199
Top 10 weight
16.3%
Effective holdings
116.8
1 / sum of squared weights
In stocks
99.1%
In bonds
0.0%
Outside the US
99.1%

Asset mix

  • Equity99.1%
  • Cash0.9%

Sectors

16% of stocks classified
  • Technology5.5%
  • Industrials2.0%
  • Consumer Discretionary2.0%
  • Communication Services1.4%
  • Financials1.3%
  • Real Estate1.1%
  • Health Care1.1%
  • Utilities0.5%
  • Energy0.4%
  • Consumer Staples0.3%

Countries

  • United Kingdom97.9%
  • Greece1.2%

Holdings

#HoldingTypeWeightValueShares / parCountry
1IMIIMI PLCEquity2.21%$845K21,064GB
2WEIRWEIR PLCEquity2.01%$768K22,890GB
3HSXHISCOX LTDEquity1.79%$683K28,344GB
4GAWGAMES WORKSHOP GROUP PLCEquity1.65%$630K2,914GB
5DCCDCC ENERGY PLCEquity1.64%$626K7,344GB
6STJST JAMESS PLACE PLCEquity1.61%$616K45,627GB
7ICGIntchains Group Limited American Depositary SharesEquity1.37%$524K22,856GB
8BGEOLION FINANCE GROUP PLCEquity1.34%$513K3,134GB
9ABDNABERDEEN GROUP PLCEquity1.33%$509K162,293GB
10CRDACRODA INTERNATIONAL PLCEquity1.32%$504K11,389GB
11BBYBest Buy Company, Inc.Equity1.27%$484K42,241GB
12HWDNHOWDEN JOINERY GROUP PLCEquity1.25%$479K48,402GB
13MTLNMETLEN ENERGY & METALS PLCEquity1.24%$473K8,836GR
14WPPWPP PLCEquity1.23%$468K95,115GB
15RORROTORK PLCEquity1.22%$468K72,043GB
16WTBWHITBREAD PLCEquity1.22%$466K14,420GB
17BLNDBlend Labs, Inc.Equity1.20%$460K90,365GB
18BTRWBARRATT REDROW PLCEquity1.19%$455K118,143GB
19PSNParsons CorporationEquity1.18%$452K28,319GB
20AUTOAUTOTRADER GROUP PLCEquity1.16%$444K69,152GB
21LMPLONDONMETRIC PROPERTY REIT PLCEquity1.16%$442K194,298GB
22RMVRIGHTMOVE PLCEquity1.14%$436K65,549GB
23EMGMAN GROUP PLCEquity1.13%$431K98,573GB
24CTECGlobal X Funds Global X ClimateTech ETFEquity1.11%$425K150,809GB
25BRBYBURBERRY GROUP PLCEquity1.11%$424K31,829GB
26RS1RS GROUP PLCEquity1.08%$412K41,537GB
27BBOXTRITAX BIG BOX REIT PLCEquity1.04%$396K215,396GB
28INVPINVESTEC PLCEquity1.03%$395K50,745GB
29MNDIMONDI PLCEquity1.03%$394K38,918GB
30CCCCCC Intelligent Solutions Holdings Inc. Common StockEquity0.98%$374K5,152GB
31IGGIG GROUP HOLDINGS PLCEquity0.95%$362K28,427GB
32JMATJOHNSON MATTHEY PLCEquity0.94%$360K11,113GB
33ZEGZEGONA COMMUNICATIONS PLCEquity0.92%$351K14,913GB
34BKGBERKELEY GROUP HOLDINGS (THE)Equity0.87%$332K7,902GB
35PAFPAN AFRICAN RESOURCES PLCEquity0.83%$317K209,432GB
36ENTENTAIN PLCEquity0.83%$316K56,419GB
37ROSEROSEBANK INDUSTRIES PLCEquity0.82%$315K78,431GB
38GBPGBP CASHCash0.82%$315K237,881GB
39CWKCushman & Wakefield Ltd.Equity0.81%$311K4,669GB
40DRXDRAX GROUP PLCEquity0.80%$306K29,677GB
41TW.TAYLOR WIMPEY PLCEquity0.79%$303K307,638GB
42MTOMITIE GROUP PLCEquity0.77%$295K106,198GB
43SRPSERCO GROUP PLCEquity0.75%$287K86,179GB
44BMEBlackrock Health Sciences TrustEquity0.75%$286K84,181GB
45ITVITV PLCEquity0.73%$280K317,712GB
46HIKHIKMA PHARMACEUTICALS PLCEquity0.73%$278K13,067GB
47HILSHILL AND SMITH PLCEquity0.72%$275K6,921GB
48SCTSOFTCAT PLCEquity0.72%$274K11,284GB
49TCAPTP ICAP GROUP PLCEquity0.71%$273K63,999GB
50QLTQUILTER PLCEquity0.69%$265K114,550GB
51BABInvesco Taxable Municipal Bond ETFEquity0.68%$260K21,697GB
52PLUSePlus IncEquity0.68%$259K6,088GB
53BWYBELLWAY PLCEquity0.68%$259K9,972GB
54HBRCanary Capital Group LLX Canary HBAR ETFEquity0.67%$257K69,662GB
55KLRKELLER GROUP PLCEquity0.67%$257K6,109GB
56PHPPRIMARY HEALTH PROPERTIES REIT PLCEquity0.65%$250K211,645GB
57GRGGREGGS PLCEquity0.65%$250K9,016GB
58EZJProShares Ultra MSCI JapanEquity0.63%$241K26,732GB
59TBCGTBC BANK GROUP PLCEquity0.62%$235K3,686GB
60QQ.QINETIQ GROUP PLCEquity0.61%$233K38,762GB
61TATETATE AND LYLE PLCEquity0.61%$233K31,420GB
62SHCSotera Health Company Common StockEquity0.60%$230K129,601GB
63INCHINCHCAPE PLCEquity0.60%$228K26,202GB
64RSWRENISHAW PLCEquity0.60%$228K3,049GB
65HTWSHELIOS TOWERS PLCEquity0.58%$223K78,015GB
66HMSOHAMMERSON REIT PLCEquity0.57%$220K51,596GB
67DLNWisdomTree U.S. LargeCap Dividend FundEquity0.56%$215K9,304GB
68UTGReaves Utility Income FundEquity0.56%$214K38,524GB
69AJBAJ BELL PLCEquity0.56%$213K27,853GB
70JD.JD SPORTS FASHION PLCEquity0.55%$212K190,818GB
71MGNSMORGAN SINDALL GROUP PLCEquity0.54%$205K3,812GB
72PNNPENNON GROUP PLCEquity0.52%$199K40,573GB
73HOCHOCHSCHILD MINING PLCEquity0.50%$191K28,350GB
74OSBOSB GROUP PLCEquity0.49%$189K30,115GB
75COACOATS GROUP PLCEquity0.48%$183K169,049GB
76GFTUGRAFTON GROUP PLCEquity0.48%$182K14,923GB
77OCDOOCADO GROUP PLCEquity0.47%$181K48,336GB
78OXIGOXFORD INSTRUMENTS PLCEquity0.47%$178K4,610GB
79CKNCLARKSON PLCEquity0.46%$176K2,525GB
80BYGBIG YELLOW GROUP PLCEquity0.45%$173K16,489GB
81GNSGenius Group LimitedEquity0.45%$172K5,867GB
82WOSGWATCHES OF SWITZERLAND GROUP PLCEquity0.45%$172K19,542GB
83BOYBODYCOTE PLCEquity0.45%$172K14,294GB
84LRELead Real Estate Co., Ltd American Depositary SharesEquity0.45%$172K20,438GB
85CURYCURRYS PLCEquity0.44%$169K86,746GB
86CANCanaan Inc. American Depositary SharesEquity0.44%$169K56,195GB
87SSPGSSP GROUP PLCEquity0.44%$167K67,332GB
88BPTBP Prudhoe Bay Royalty TrustEquity0.44%$167K32,903GB
89GNCGREENCORE GROUP PLCEquity0.43%$165K49,595GB
90SRESempraEquity0.43%$165K140,225GB
91ATYMATALAYA MINING COPPER SAEquity0.43%$164K12,202GB
92CHGCHEMRING GROUP PLCEquity0.41%$158K23,993GB
93YCAYELLOW CAKE PLCEquity0.41%$157K22,157GB
94SVSSAVILLS PLCEquity0.40%$155K12,258GB
95JET2JET2 PLCEquity0.40%$154K8,248GB
96FANFirst Trust Global Wind Energy ETFEquity0.39%$151K17,460GB
97SRCSIGMAROC PLCEquity0.39%$151K93,379GB
98PAGPenske Automotive Group, Inc.Equity0.39%$150K16,103GB
99IWGINTERNATIONAL WORKPLACE GROUP PLCEquity0.39%$149K63,112GB
100PFDFlaherty & Crumrine Preferred and Income Fund IncorporatedEquity0.38%$147K57,450GB
101CGEOGEORGIA CAPITAL PLCEquity0.38%$145K2,542GB
102FOURShift4 Payments, Inc.Equity0.37%$143K2,484GB
103KIEState Street SPDR S&P Insurance ETFEquity0.37%$140K36,619GB
104TPKTRAVIS PERKINS PLCEquity0.36%$136K18,737GB
105IHPINTEGRAFIN HOLDINGSEquity0.33%$125K25,560GB
106GRIGRI Bio, Inc. Common StockEquity0.33%$124K58,847GB
107SAFESafehold Inc.Equity0.32%$123K18,782GB
108GPEGREAT PORTLAND ESTATES PLCEquity0.32%$121K30,441GB
109ENOGENERGEAN PLCEquity0.32%$121K13,029GB
110GROWUS Global Investors IncEquity0.31%$120K13,386GB
111ELMElm Market Navigator ETFEquity0.31%$119K50,231GB
112FGPFIRSTGROUP PLCEquity0.31%$118K47,687GB
113KNOSKRONOS ADVANCED TECHS INCEquity0.31%$117K7,170GB
114SUPRSUPERMARKET INCOME REIT PLCEquity0.30%$116K109,877GB
115DNLMDUNELM GROUP PLCEquity0.30%$116K11,108GB
116ONTOnterris, Inc.Equity0.30%$114K43,019GB
117HASHasbro, Inc.Equity0.30%$113K138,444GB
118ZIGThe Acquirers FundEquity0.29%$112K19,672GB
119BYITBYTES TECHNOLOGY GROUP PLCEquity0.29%$112K18,980GB
120GAMAGAMMA COMMUNICATIONSEquity0.29%$111K7,697GB
121ASHMASHMORE GROUP PLCEquity0.28%$108K37,705GB
122VLXVOLEX PLCEquity0.28%$106K11,832GB
123RATRATHBONES GROUP PLCEquity0.27%$104K5,186GB
124DOMDOMINOS PIZZA GROUP PLCEquity0.26%$100K34,002GB
125PETSPetMed Express, Inc.Equity0.26%$100K36,341GB
126FRASFRASERS GROUP PLCEquity0.26%$98K8,899GB
127VSVSVESUVIUSEquity0.26%$98K16,411GB
128MONYMONY GROUP PLCEquity0.25%$97K39,693GB
129DSCVDISCOVERIE GROUPEquity0.25%$97K8,613GB
130BREEMFS Blended Research Emerging Markets Equity ETFEquity0.25%$96K24,482GB
131TRSTTrustco Bank Corp NYEquity0.25%$95K30,713GB
132MOONMOONPIG GROUP PLCEquity0.24%$93K25,174GB
133CVSGCVS GROUP PLCEquity0.24%$92K6,079GB
134PTECGlobal X PropTech ETFEquity0.24%$91K19,089GB
135FEVRFEVERTREE DRINKS PLCEquity0.23%$89K7,989GB
136BCGBinah Capital Group, Inc. Common StockEquity0.23%$89K35,628GB
137CSNCHESNARA PLCEquity0.23%$88K20,399GB
138RNWHRENEW HOLDINGS PLCEquity0.23%$87K6,980GB
139MPEM. P. EVANS GROUP PLCEquity0.23%$86K3,235GB
140MGAMMOBILE GLOBAL ESPORTS INCEquity0.22%$86K24,538GB
141MABMITCHELLS AND BUTLERS PLCEquity0.22%$85K22,483GB
142VCTVICTREX PLCEquity0.22%$84K6,838GB
143JUPJUPITER FUND MANAGEMENT PLCEquity0.22%$83K36,951GB
144POLRPOLAR PETROLEUM CORPEquity0.21%$82K7,944GB
145THRLTARGET HEALTHCARE REIT PLCEquity0.21%$82K55,062GB
146GENGen Digital Inc. Common StockEquity0.21%$81K22,371GB
147SAGASAGA PLCEquity0.21%$81K8,062GB
148SQZSERICA ENERGY PLCEquity0.21%$79K22,666GB
149TRNTrinity Industries, Inc.Equity0.21%$79K29,541GB
150AVONAVON TECHNOLOGIES PLCEquity0.20%$76K2,535GB
151JDWWETHERSPOON(J.D.) PLCEquity0.20%$75K5,642GB
152SPISPIRE HEALTHCARE GROUP PLCINARYEquity0.19%$74K22,827GB
153VTYVISTRY GROUP PLCEquity0.19%$73K25,271GB
154N91NINETY ONE PLCEquity0.18%$71K26,325GB
155PAGEMICHAEL PAGE PLCEquity0.18%$70K25,792GB
156TEPTELECOM PLUS PLCEquity0.18%$70K6,268GB
157IPORenaissance IPO ETFEquity0.18%$69K75,942GB
158CMCXCMC MARKETS PLCEquity0.18%$69K8,018GB
159CWRCERES POWER HOLDINGS PLCEquity0.18%$68K13,972GB
160BAGA G BARREquity0.18%$68K9,384GB
161CBGCBRE GROUP INC CL AEquity0.18%$68K13,288GB
162HFGHILTON FOOD GROUP PLCEquity0.18%$68K7,139GB
163AMSAmerican Shared Hospital ServicesEquity0.17%$67K17,800GB
164XPSXPS PENSIONS GROUP PLCEquity0.17%$66K16,533GB
165CRECre8 Enterprise Limited Class A Ordinary SharesEquity0.17%$65K11,673GB
166SMWHWH SMITH PLCEquity0.17%$64K13,089GB
167RKHROCKHOPPER EXPLORATION PLCEquity0.16%$60K94,513GB
168RHIMRHI MAGNESITAEquity0.16%$60K1,671GB
169JSGJOHNSON SERVICE GROUP PLCEquity0.15%$58K32,529GB
170RPIRASPBERRY PI HOLDINGS PLCEquity0.15%$57K6,405GB
171HTGHUNTING PLCEquity0.15%$56K11,107GB
172MTROMETRO ONE DEV INC NEWEquity0.15%$56K26,726GB
173ITMVanEck Intermediate Muni ETFEquity0.13%$50K41,148GB
174GDWNGOODWIN PLCEquity0.13%$50K266GB
175CHRTCOHORT PLCEquity0.13%$49K3,134GB
176DOCSDoximity, Inc.Equity0.12%$46K51,534GB
177BOWLBowlero Corp.Equity0.12%$45K13,673GB
178OXBOXFORD BIOMEDICA PLCEquity0.12%$44K6,492GB
179APNAPPLIED NUTRITION PLCEquity0.11%$43K12,173GB
180SHAWSHAWBROOK GROUP PLCEquity0.11%$42K11,356GB
181AEPAmerican Electric Power Company, Inc.Equity0.11%$41K15,809GB
182GBGGB GROUP PLCEquity0.10%$37K19,401GB
183FSGFORESIGHT GROUP HOLDINGS LTDEquity0.09%$36K6,142GB
184WKPWORKSPACE GROUP REIT PLCEquity0.09%$34K7,319GB
185AO.AO WORLDEquity0.08%$31K26,199GB
186PPHVanEck Pharmaceutical ETFEquity0.08%$31K1,647GB
187MEGPME GROUP INTERNATIONAL PLCEquity0.08%$31K20,682GB
188EWGiShares MSCI Germany ETFEquity0.06%$23K17,822GB
189ALFAALFA FINANCIAL SOFTWARE HOLDINGS PEquity0.06%$23K11,204GB
190XTSLABLK CSH FND TREASURY SL AGENCYCash0.06%$22K21,568US
191YNGAYOUNG AND COS BREWERY PLCEquity0.06%$21K1,624GB
192THGThe Hanover Insurance Group, Inc.Equity0.05%$18K51,318GB
193RNKRANK GROUP PLCEquity0.04%$15K16,000GB
194SGAFTCASH COLLATERAL GBP SGAFTCash0.02%$9K7,000GB
195EUREUR CASHCash0.01%$3K3,083EU
196CHFCHF CASHCash0.00%$942785CH
197BAKKAVOR GROUP PLC-CVREquity0.00%$57021,565GB
198YBYZ6FTSE 250 MID LIF (Y2) DEC 26Derivative0.00%$05GB
199USDProShares Ultra SemiconductorsCash-0.05%−$19K-18,924US

Find which other funds hold a stock by opening it and choosing "ETFs holding".

Position changes between reports

ActionHoldingWeight beforeWeight afterShares vs flowsBetween reports
New positionDCC PUBLIC LIMITED COMPANY—1.54%—Feb 28, 2026 → May 31, 2026 SEC
New positionZEGONA COMMUNICATIONS PLC—1.04%—Feb 28, 2026 → May 31, 2026 SEC
ExitCARNIVAL PLC0.96%——Feb 28, 2026 → May 31, 2026 SEC
New positionHIKMA PHARMACEUTICALS PUBLIC LIMITED COMPANY—0.74%—Feb 28, 2026 → May 31, 2026 SEC
ExitJUST GROUP PLC0.60%——Feb 28, 2026 → May 31, 2026 SEC
New positionM P Evans Group PLC—0.18%—Feb 28, 2026 → May 31, 2026 SEC
ExitDECDIVERSIFIED ENERGY COMPANY0.18%——Feb 28, 2026 → May 31, 2026 SEC
New positionSHAWBROOK GROUP PLC—0.12%—Feb 28, 2026 → May 31, 2026 SEC
New positionW.A.G PAYMENT SOLUTIONS PLC—0.07%—Feb 28, 2026 → May 31, 2026 SEC
ExitHOME REIT PLC0.03%——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.