|
|
|
iShares Semiconductor ETF
Fund Name: |
iShares Semiconductor ETF |
Issuer: |
iShares |
Total Net Assets: |
$12,169,383,063 |
Inception: |
NA |
Related Index: |
NYSE Semiconductor Index |
ETF Category: |
Technology |
Expense Ratio: |
0.35% |
|
Net Asset Value: |
$210.36 |
Recent NAV Premium: |
0.00% |
NAV Symbol: |
SOXX.NV |
Number of Holdings: |
30 |
Annualized Yield: |
0.63% |
Annualized Distribution: |
1.323 |
SOXX Dividend History » |
|
Stock |
Weight |
Amount |
Nvidia |
8.66% |
$1,054,119,451 |
Broadcom |
8.04% |
$977,946,176 |
Advanced Micro Devices |
6.56% |
$798,745,586 |
Qualcomm |
6.54% |
$796,439,628 |
Intel Corporation |
5.29% |
$643,856,311 |
List of all 35 stocks held by SOXX
» |
|
|
|
|
Buy (3.33 out of 4)
66th percentile
|
ETF |
Assets |
IVV |
$431,639,847,965 |
IEFA |
$111,499,752,682 |
AGG |
$104,474,996,167 |
IWF |
$85,491,538,756 |
IJH |
$79,178,059,280 |
List of all 305 others
» |
|
Shares Short |
1,910,000 |
Chg. from Last Month |
+954,351 |
Shares Outstanding |
57,850,000 |
% of Shares Short |
3.30% |
Days to Cover |
0.6 |
Based on third party short interest data.
|
|
|
|