Fund report

US-listed · United States

0BYN

iShares Core MSCI Total International Stock ETF
US46432F8344 · IXUS · BlackRock (iShares)
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Concentration
Well diversifiedtop 10 = 14.8%
diversifiedconcentrated
GROWTH

A price history for this fund is not available yet.

Holdings
4377
as of 2026-07-04
Top 10
14.8%
TER
0.07%
cheaper than 95% of peers
Net assets
Largest
4.5%
P / E
18.6
covers 74.0% by weight
01Overview
the fund's regulatory facts
Domicile
United States
02Valuation and performance
Valuation1812 companies covered · weighted, profitable holdings only
18.6
price / earnings
covers 74.0% by weight
5.4%
earnings yield
1.72
price / book
covers 66.0% by weight

Computed from company filings and reported position values. How this is computed. Not investment advice.

03Holdings
50 largest · as of 2026-07-04
#CompanyIdentifierWeight
1Taiwan Semiconductor Manufacturing Co., Ltd. TW2330
4.5
2SAMSUNG ELECTRONICS LTD KR005930
2.3
3SK hynix Inc KR000660
1.9
4ASML HOLDING NV NLASML
1.7
5Tencent Holdings Ltd KY700 HK
0.8
6HSBC HOLDINGS PLC GBHSBA
0.8
7ROCHE PS PAR AG CHROP
0.7
8AstraZeneca PLC GB2389879D
0.7
9Novartis AG CHNOVN
0.7
10Royal Bank of Canada CARY
0.7
11Nestle SA CHNESN SW
0.6
12Siemens AG DESIE
0.6
13MITSUBISHI UFJ FINANCIAL GROUP INC JP8306
0.5
14SHELL PLC GBSHEL
0.5
15BHP GROUP LTD AUBHP
0.5
16Tokyo Electron Ltd JP8035 JT
0.5
17BANCO SANTANDER ESSAN
0.5
18Alibaba Group Holding Limited KY9988
0.5
19Toronto-Dominion Bank/The CATD
0.5
20MediaTek Inc. TW2454
0.5
21Commonwealth Bank of Australia AUCBA AU
0.4
22Allianz SE DEALV GR
0.4
23Schneider Electric SE FRSU FP
0.4
24SAP DESAP
0.4
25Rolls-Royce Holdings PLC GBRR/ LN
0.4
26ABB Ltd CHABBN
0.4
27NOVO NORDISK CLASS B DKNOVO B
0.4
28TOYOTA MOTOR CORP JP7203
0.4
29UBS Group CHUBSG
0.4
30Iberdrola SA ESIBE
0.4
31TotalEnergies SE FRTTE
0.4
32Kioxia Holdings Corp. JP285A
0.4
33SUMITOMO MITSUI FINANCIAL GROUP IN JP8316
0.4
34SHOPIFY SUBORDINATE VOTING INC CLA CASHOP
0.3
35Siemens Energy AG DEENR
0.3
36BANCO BILBAO VIZCAYA ARGENTARIA SA ESBBVA
0.3
37Safran SA FRSAF FP
0.3
38LVMH Moet Hennessy Louis Vuitton SE FRMC
0.3
39AIRBUS GROUP SE NLAIR FP
0.3
40UNILEVER PLC GBULVR
0.3
41Advantest Corp JP6857 JP
0.3
42LAIR LIQUIDE SOCIETE ANONYME POUR FRAI
0.3
43UniCredit SpA ITUCG
0.3
44Hitachi Ltd JP6501 JP
0.3
45British American Tobacco PLC GBBATS
0.3
46COMPAGNIE FINANCIERE RICHEMONT SA CHCFR
0.3
47Sony Group Corp. JP6758
0.3
48Bank of Montreal CABMO
0.3
49DELTA ELECTRONICS, INC. TW2308
0.3
50ENBRIDGE INC CAENB
0.3
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04Exposure
Equity 98.2%Other 1.2%
By sector
Financial Services20.6%
Technology20.3%
Industrials14.5%
Consumer Cyclical7.8%
Materials6.7%
Healthcare6.7%
Consumer Defensive5.0%
Energy4.4%
Communication Services3.8%
Utilities2.9%
Real Estate2.0%
By country
JPJapan14.9%
TWTaiwan8.9%
GBUnited Kingdom8.0%
CACanada7.7%
KRSouth Korea6.4%
CHSwitzerland5.4%
FRFrance4.6%
DEGermany4.6%
CurrencyEUR 19.1% JPY 14.9% TWD 8.9% GBP 8.3% CAD 7.7%
05Similar funds
funds with comparable exposure
VT
the world portfolio (VT)
2134 shared companies
30.7%compare →

Ranked by how much of their holdings you already own through this fund. Overlap by weight where shown.

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