0001752724-20-147947.txt : 20200729 0001752724-20-147947.hdr.sgml : 20200729 20200729153158 ACCESSION NUMBER: 0001752724-20-147947 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200531 FILED AS OF DATE: 20200729 PERIOD START: 20200831 FILER: COMPANY DATA: COMPANY CONFORMED NAME: iShares, Inc. CENTRAL INDEX KEY: 0000930667 IRS NUMBER: 510396525 STATE OF INCORPORATION: MD FISCAL YEAR END: 0831 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-09102 FILM NUMBER: 201057205 BUSINESS ADDRESS: STREET 1: 400 HOWARD STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 BUSINESS PHONE: (415) 670-2000 MAIL ADDRESS: STREET 1: 400 HOWARD STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 FORMER COMPANY: FORMER CONFORMED NAME: iSHARES INC DATE OF NAME CHANGE: 20070126 FORMER COMPANY: FORMER CONFORMED NAME: ISHARES INC DATE OF NAME CHANGE: 20000516 FORMER COMPANY: FORMER CONFORMED NAME: WEBS INDEX FUND INC DATE OF NAME CHANGE: 19970211 0000930667 S000032498 iShares Edge MSCI Min Vol Global ETF C000100213 iShares Edge MSCI Min Vol Global ETF ACWV NPORT-P 1 primary_doc.xml NPORT-P false 0000930667 XXXXXXXX S000032498 C000100213 iShares, Inc. 811-09102 0000930667 549300MGJZCNMJLBAJ67 400 HOWARD STREET SAN FRANCISCO 94105 800-474-2737 iShares Edge MSCI Min Vol Global ETF 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Long EC CORP CH N 1 N N N China Mobile Ltd 529900TACNVLY9DCR586 China Mobile Ltd 000000000 3568500.00000000 NS 24907218.42000000 0.441528580019 Long EC CORP HK N 1 N N N Swiss Life Holding AG 5493000KUC3Z24U77V93 Swiss Life Holding AG 000000000 10564.00000000 NS 3710100.55000000 0.065768702066 Long EC CORP CH N 1 N N N Hua Nan Financial Holdings Co Ltd N/A Hua Nan Financial Holdings Co Ltd 000000000 19414332.00000000 NS 12576478.18000000 0.222942379949 Long EC CORP TW N 1 N N N American Tower Corp 5493006ORUSIL88JOE18 American Tower Corp 03027X100 67264.00000000 NS USD 17365546.88000000 0.307837877594 Long EC CORP US N 1 N N N AstraZeneca PLC PY6ZZQWO2IZFZC3IOL08 AstraZeneca PLC 000000000 41992.00000000 NS 4454282.98000000 0.078960773780 Long EC CORP GB N 1 N N N Loblaw Cos Ltd 5493008LN3O1DIDTSH67 Loblaw Cos Ltd 000000000 181093.00000000 NS 8930182.95000000 0.158304750484 Long EC CORP CA N 1 N N N Petronas Dagangan Bhd N/A Petronas Dagangan Bhd 000000000 517700.00000000 NS 2795996.78000000 0.049564446225 Long EC CORP MY N 1 N N N Oracle Corp Japan 1Z4GXXU7ZHVWFCD8TV52 Oracle Corp Japan 000000000 71000.00000000 NS 8290527.68000000 0.146965624681 Long EC CORP JP N 1 N N N CLP Holdings Ltd 25490002BUTSMP94GO68 CLP Holdings Ltd 000000000 1924254.00000000 NS 18855256.26000000 0.334245855237 Long EC CORP HK N 1 N N N Merck & Co Inc 4YV9Y5M8S0BRK1RP0397 Merck & Co Inc 58933Y105 539204.00000000 NS USD 43524546.88000000 0.771556705204 Long EC CORP US N 1 N N N HK Electric Investments & HK Electric Investments Ltd N/A HK Electric Investments & HK Electric Investments Ltd 000000000 6316500.00000000 NS 6258640.18000000 0.110946492094 Long EC CORP XX N 1 N N N BTS Group Holdings PCL N/A BTS Group Holdings PCL 000000000 14234400.00000000 NS 5414531.28000000 0.095983030590 Long EC CORP TH N 1 N N N Mid-America Apartment Communities Inc 549300FQZKFR5YNSHZ21 Mid-America Apartment Communities Inc 59522J103 24967.00000000 NS USD 2905160.12000000 0.051499577386 Long EC CORP US N 1 N N N Japan Real Estate Investment Corp 3538003YAIR3CBGJJ928 Japan Real Estate Investment Corp 000000000 3264.00000000 NS 17814377.87000000 0.315794274264 Long EC JP N 1 N N N Maxis Bhd N/A Maxis Bhd 000000000 4000000.00000000 NS 4857964.35000000 0.086116806183 Long EC CORP MY N 1 N N Polyus PJSC 549300FUXVT7TF6ZKV71 Polyus PJSC 000000000 65724.00000000 NS 10860456.91000000 0.192522586704 Long EC CORP RU N 1 N N N Chicago Board of Trade 549300EX04Q2QBFQTQ27 US 2YR NOTE (CBT) SEP20 XCBT 20200930 000000000 17.00000000 NC USD 1470.61000000 0.000026069404 N/A DIR US N 1 Chicago Board of Trade 549300EX04Q2QBFQTQ27 Long 2 Year US Treasury Note TUU0 Comdty 2020-09-30 3752873.14000000 USD 1470.61000000 N N N E.Sun Financial Holding Co Ltd 549300X6CNQE512OPC90 E.Sun Financial Holding Co Ltd 000000000 14920568.00000000 NS 13243401.74000000 0.234764888888 Long EC CORP TW N 1 N N N CapitaLand Mall Trust 54930031292WUTXF0L29 CapitaLand Mall Trust 000000000 6025800.00000000 NS 8654573.37000000 0.153419038059 Long EC SG N 1 N N N AutoZone Inc GA3JGKJ41LJKXDN23E90 AutoZone Inc 053332102 16350.00000000 NS USD 18767511.00000000 0.332690400935 Long EC CORP US N 1 N N N Qatar Islamic Bank SAQ N/A Qatar Islamic Bank SAQ 000000000 868491.00000000 NS 3652510.08000000 0.064747799691 Long EC CORP QA N 1 N N N Alleghany Corp 549300DCJE6AYX159479 Alleghany Corp 017175100 33596.00000000 NS USD 17238107.60000000 0.305578770078 Long EC CORP US N 1 N N N Oversea-Chinese Banking Corp Ltd 5493007O3QFXCPOGWK22 Oversea-Chinese Banking Corp Ltd 000000000 654300.00000000 NS 3958019.67000000 0.070163547575 Long EC CORP SG N 1 N N Target Corp 8WDDFXB5T1Z6J0XC1L66 Target Corp 87612E106 61222.00000000 NS USD 7489287.26000000 0.132762089829 Long EC CORP US N 1 N N N Aflac Inc 549300N0B7DOGLXWPP39 Aflac Inc 001055102 105099.00000000 NS USD 3832960.53000000 0.067946632640 Long EC CORP US N 1 N N N Bank of the Philippine Islands 549300UW4UH6XT2X8C50 Bank of the Philippine Islands 000000000 2217919.00000000 NS 2904939.35000000 0.051495663812 Long EC CORP PH N 1 N N N Burlington Stores Inc 5299003Z37DVGKKC1W09 Burlington Stores Inc 122017106 29762.00000000 NS USD 6240198.54000000 0.110619578386 Long EC CORP US N 1 N N N KDDI Corp N/A KDDI Corp 000000000 692200.00000000 NS 20148876.41000000 0.357177772334 Long EC CORP JP N 1 N N N Avenue Supermarts Ltd 335800B2ZPJKOU2ZM776 Avenue Supermarts Ltd 000000000 153572.00000000 NS 4608911.68000000 0.081701866310 Long EC CORP IN N 1 N N N JM Smucker Co/The 5493000WDH6A0LHDJD55 JM Smucker Co/The 832696405 101603.00000000 NS USD 11575629.79000000 0.205200408083 Long EC CORP US N 1 N N N Agnico Eagle Mines Ltd YGE0EUBRF7IJOB3QRX76 Agnico Eagle Mines Ltd 000000000 585275.00000000 NS 37300589.46000000 0.661225032055 Long EC CORP CA N 1 N N N Check Point Software Technologies Ltd 2549003ZVBH73EPNS513 Check Point Software Technologies Ltd 000000000 30028.00000000 NS USD 3293170.76000000 0.058377815816 Long EC CORP IL N 1 N N HUISHAN DAIRY N/A HUISHAN DAIRY 000000000 2093055.00000000 NS 2.70000000 0.000000047862 Long EC CORP HK N 3 N N N First Financial Holding Co Ltd 529900BC1U046Q2GUZ64 First Financial Holding Co Ltd 000000000 25265606.00000000 NS 19227946.61000000 0.340852511920 Long EC CORP TW N 1 N N N Xcel Energy Inc LGJNMI9GH8XIDG5RCM61 Xcel Energy Inc 98389B100 698234.00000000 NS USD 45406157.02000000 0.804911881171 Long EC CORP US N 1 N N N O'Reilly Automotive Inc 549300K2RLMQL149Q332 O'Reilly Automotive Inc 67103H107 30797.00000000 NS USD 12849740.28000000 0.227786478754 Long EC CORP US N 1 N N N 2020-06-30 iShares, Inc. Ann Frechette Ann Frechette Assistant Treasurer XXXX NPORT-EX 2 NPORT_474583121549136.htm iShares Edge MSCI Min Vol Global ETF

Schedule of Investments  (unaudited) 

May 31, 2020

  

iShares® Edge MSCI Min Vol Global ETF

(Percentages shown are based on Net Assets)

 

Security   Shares     Value  

Common Stocks

   

Australia — 0.4%

   

Newcrest Mining Ltd.

    218,367     $ 4,432,632  

Woolworths Group Ltd.

    673,834       15,807,263  
   

 

 

 
      20,239,895  
Belgium — 0.5%            

Colruyt SA

    135,490       8,195,731  

Proximus SADP

    370,326       7,742,261  

Telenet Group Holding NV

    95,304       3,907,579  

UCB SA

    84,858       8,495,258  
   

 

 

 
      28,340,829  
Canada — 5.3%            

Agnico Eagle Mines Ltd.

    585,275       37,300,589  

Barrick Gold Corp.

    2,380,769       57,030,286  

BCE Inc.

    372,299       15,415,043  

CGI Inc.(a)

    212,151       13,503,867  

Empire Co. Ltd., Class A, NVS

    354,229       7,985,657  

Fairfax Financial Holdings Ltd.

    20,197       5,588,733  

Franco-Nevada Corp.

    449,185       62,805,305  

Intact Financial Corp.

    328,684       31,256,131  

Kirkland Lake Gold Ltd.

    86,353       3,314,301  

Loblaw Companies Ltd.

    181,093       8,930,183  

Metro Inc.

    138,509       5,754,006  

Rogers Communications Inc., Class B, NVS

    138,322       5,774,258  

Shaw Communications Inc., Class B, NVS

    288,827       4,854,183  

TELUS Corp.

    972,618       16,789,658  

Thomson Reuters Corp.

    178,281       11,894,859  

Waste Connections Inc.(b)

    141,593       13,315,406  
   

 

 

 
          301,512,465  
Chile — 0.1%            

Banco de Chile

    94,113,950       7,949,192  
   

 

 

 
China — 2.6%            

Agricultural Bank of China Ltd., Class A

    10,829,199       5,139,342  

Agricultural Bank of China Ltd., Class H

    7,575,000       3,058,928  

Alibaba Group Holding Ltd., ADR(a)

    24,805       5,144,309  

Alibaba Pictures Group Ltd.(a)

    29,450,000       3,571,539  

Bank of Communications Co. Ltd., Class A

    5,017,700       3,578,969  

Bank of Communications Co. Ltd., Class H

    6,835,000       4,144,562  

China Huishan Dairy Holdings Co. Ltd.(a)(c)

    2,093,055       3  

China International Travel Service Corp. Ltd., Class A

    287,800       4,066,608  

China Minsheng Banking Corp. Ltd., Class A

    3,524,499       2,799,252  

China Mobile Ltd.

    3,568,500       24,907,218  

China Telecom Corp. Ltd., Class H

    33,492,000       11,104,946  

China Unicom Hong Kong Ltd.

    4,294,000       2,487,429  

China United Network Communications Ltd., Class A

    3,811,547       2,638,853  

CRRC Corp. Ltd., Class A

    3,586,497       2,923,584  

Guangdong Investment Ltd.

    4,275,147       8,416,816  

Industrial & Commercial Bank of China Ltd., Class A

    5,736,551       4,099,710  

Jiangsu Expressway Co. Ltd., Class H

    2,966,000       3,493,689  

Lenovo Group Ltd.

    4,834,000       2,625,615  

Postal Savings Bank of China Co. Ltd., Class H(d)

    24,394,000       15,515,730  

SF Holding Co. Ltd., Class A

    433,900       2,760,554  

Shenzhen International Holdings Ltd.

    2,232,500       3,727,074  

Xiaomi Corp., Class B(a)(d)

    8,327,000       12,913,242  

ZTE Corp., Class A(a)

    568,100       2,858,659  

ZTO Express Cayman Inc., ADR

    490,939       16,014,430  
   

 

 

 
      147,991,061  
Denmark — 0.8%            

Carlsberg A/S, Class B

    43,592       5,637,744  
Security   Shares     Value  
Denmark (continued)            

Coloplast A/S, Class B

    118,392     $ 19,877,177  

Novo Nordisk A/S, Class B

    196,345       12,783,068  

Tryg A/S

    296,677       8,314,943  
   

 

 

 
      46,612,932  
Finland — 0.6%            

Elisa OYJ

    347,467       21,791,138  

Nokia OYJ

    2,930,109       11,621,053  
   

 

 

 
      33,412,191  
France — 0.9%            

Eurazeo SE(a)

    59,158       2,882,232  

Hermes International

    28,026       23,312,446  

Orange SA

    1,810,823       21,844,738  
   

 

 

 
      48,039,416  
Germany — 1.0%            

Deutsche Telekom AG, Registered(a)

    3,216,178       50,711,262  

Telefonica Deutschland Holding AG

    2,168,183       6,670,976  
   

 

 

 
      57,382,238  
Hong Kong — 2.6%            

BeiGene Ltd., ADR(a)

    43,531       7,206,122  

CLP Holdings Ltd.

    1,924,254       18,855,256  

Dairy Farm International Holdings Ltd.

    577,500       2,437,050  

Hang Seng Bank Ltd.(b)

    1,384,900       21,065,632  

HK Electric Investments & HK Electric Investments Ltd.

    6,513,500       6,453,836  

HKT Trust & HKT Ltd.(b)

    9,265,000       13,172,533  

Hong Kong & China Gas Co. Ltd.

    11,703,130       19,688,919  

Jardine Matheson Holdings Ltd.

    230,700       9,262,605  

Jardine Strategic Holdings Ltd.

    189,100       3,772,545  

Link REIT

    1,749,900       13,083,048  

MTR Corp. Ltd.

    3,513,000       16,837,563  

PCCW Ltd.

    10,432,000       5,720,036  

Power Assets Holdings Ltd.

    1,310,500       7,295,584  
   

 

 

 
     
    144,850,729
 
Hungary — 0.1%            

OTP Bank Nyrt(a)

    140,831       4,690,463  
   

 

 

 
India — 2.3%            

Asian Paints Ltd.

    368,316       8,198,141  

Avenue Supermarts Ltd.(a)(d)

    158,113       4,745,193  

Bajaj Auto Ltd.

    82,349       2,951,839  

Bajaj Finserv Ltd.

    96,346       5,612,477  

Bharat Petroleum Corp. Ltd.

    819,812       3,716,550  

Coal India Ltd.

    3,018,297       5,640,128  

Dabur India Ltd.

    1,045,617       6,450,043  

Dr. Reddy’s Laboratories Ltd.

    78,715       4,238,090  

Eicher Motors Ltd.

    22,756       4,980,101  

HCL Technologies Ltd.

    1,128,756       8,213,816  

Hero MotoCorp Ltd.

    94,664       2,955,549  

Hindustan Petroleum Corp. Ltd.

    1,486,858       3,825,477  

Hindustan Unilever Ltd.

    206,248       5,611,549  

Housing Development Finance Corp. Ltd.

    188,275       4,130,453  

Indian Oil Corp. Ltd.

    3,879,319       4,268,386  

Infosys Ltd.

    664,064       6,068,381  

InterGlobe Aviation Ltd.(d)

    223,465       2,853,295  

ITC Ltd.

    1,210,174       3,158,419  

Larsen & Toubro Ltd.

    259,480       3,199,051  

Maruti Suzuki India Ltd.

    87,563       6,497,261  

Petronet LNG Ltd.

    1,530,379       5,111,298  

Pidilite Industries Ltd.

    293,047       5,690,711  

Sun Pharmaceutical Industries Ltd.

    527,201       3,306,499  
 

 

 

     1  


Schedule of Investments  (unaudited) (continued)

May 31, 2020

  

iShares® Edge MSCI Min Vol Global ETF

(Percentages shown are based on Net Assets)

 

Security   Shares     Value  
India (continued)            

Tata Consultancy Services Ltd.

    301,335     $ 7,859,925  

Tech Mahindra Ltd.

    452,655       3,175,387  

United Spirits Ltd.(a)

    364,916       2,867,064  

Wipro Ltd.

    327,582       921,885  

Wipro Ltd., ADR

    1,425,832       4,719,504  
   

 

 

 
          130,966,472  
Indonesia — 0.5%            

Bank Central Asia Tbk PT

    13,809,500       24,528,167  

Indofood CBP Sukses Makmur Tbk PT

    74,500       41,559  

Kalbe Farma Tbk PT

    30,423,600       2,946,570  

Unilever Indonesia Tbk PT

    251,800       133,570  
   

 

 

 
      27,649,866  
Ireland — 0.5%            

AIB Group PLC(a)

    102,175       113,540  

Kerry Group PLC, Class A

    210,014       26,000,679  
   

 

 

 
      26,114,219  
Israel — 0.5%            

Azrieli Group Ltd.

    65,278       3,426,564  

Bank Hapoalim BM

    552,466       3,392,003  

Bank Leumi Le-Israel BM

    747,078       3,953,538  

Check Point Software Technologies Ltd.(a)(b)

    30,028       3,293,171  

Mizrahi Tefahot Bank Ltd.

    335,204       6,565,536  

Nice Ltd.(a)

    26,383       4,770,689  
   

 

 

 
      25,401,501  
Italy — 0.3%            

Assicurazioni Generali SpA

    946,029       13,138,151  

Intesa Sanpaolo SpA(a)

    2,240,442       3,868,821  
   

 

 

 
      17,006,972  
Japan — 12.0%            

ABC-Mart Inc.

    81,200       4,936,743  

Ajinomoto Co. Inc.

    274,700       4,683,937  

ANA Holdings Inc.(a)

    280,000       6,754,722  

Canon Inc.

    1,259,200       25,935,534  

Chugai Pharmaceutical Co. Ltd.

    203,100       29,955,530  

Daiwa House REIT Investment Corp.

    4,359       10,778,648  

East Japan Railway Co.

    89,800       7,043,301  

FUJIFILM Holdings Corp.

    222,600       10,291,647  

Hamamatsu Photonics KK

    198,300       8,982,262  

Hankyu Hanshin Holdings Inc.

    76,200       2,815,018  

Japan Airlines Co. Ltd.

    282,700       5,555,074  

Japan Post Bank Co. Ltd.

    1,010,300       8,346,099  

Japan Post Holdings Co. Ltd.

    3,436,100       25,008,085  

Japan Tobacco Inc.

    144,900       2,874,867  

KDDI Corp.

    692,200       20,148,876  

Keikyu Corp.

    175,700       2,937,167  

Keio Corp.

    151,600       9,005,801  

Keyence Corp.

    57,500       23,670,349  

Kintetsu Group Holdings Co. Ltd.

    214,400       10,527,461  

Kirin Holdings Co. Ltd.

    142,400       2,917,789  

Kyushu Railway Co.

    367,200       10,412,549  

Lawson Inc.

    123,200       6,815,538  

McDonald’s Holdings Co. Japan Ltd.(b)

    162,000       8,616,142  

MEIJI Holdings Co. Ltd.

    123,000       9,259,108  

Mizuho Financial Group Inc.

    12,312,000       15,370,715  

Nagoya Railroad Co. Ltd.

    417,900       12,606,627  

NEC Corp.

    551,900       24,768,520  

Nippon Building Fund Inc.

    3,122       19,589,474  

Nippon Prologis REIT Inc.

    4,336       12,235,058  

Nippon Telegraph & Telephone Corp.

    1,358,400       30,815,702  
Security   Shares     Value  
Japan (continued)            

Nissan Motor Co. Ltd.

    766,000     $ 2,850,414  

Nissin Foods Holdings Co. Ltd.

    41,900       3,500,255  

Nitori Holdings Co. Ltd.

    92,100       16,699,991  

Nomura Research Institute Ltd.

    168,690       4,459,360  

NTT Data Corp.

    851,500       9,840,047  

NTT DOCOMO Inc.

    2,868,200       78,576,993  

Ono Pharmaceutical Co. Ltd.

    149,200       4,261,274  

Oracle Corp. Japan(a)

    71,000       8,290,528  

Oriental Land Co. Ltd.

    220,100       31,901,067  

Pan Pacific International Holdings Corp.

    558,000       11,244,424  

Sankyo Co. Ltd.

    1,500       38,637  

Secom Co. Ltd.

    359,100       31,111,889  

Seibu Holdings Inc.

    220,700       2,884,351  

Seven & i Holdings Co. Ltd.

    82,400       2,819,964  

Shimamura Co. Ltd.

    50,100       3,524,927  

Shionogi & Co. Ltd.

    57,729       3,408,495  

Softbank Corp.

    598,000       7,582,197  

Suntory Beverage & Food Ltd.

    326,400       13,330,487  

Takeda Pharmaceutical Co. Ltd.

    141,800       5,516,163  

Tobu Railway Co. Ltd.

    455,100       16,136,650  

Toho Co. Ltd.

    191,700       7,046,290  

Toyo Suisan Kaisha Ltd.

    207,600       10,848,731  

USS Co. Ltd.

    165,200       2,879,710  

West Japan Railway Co.

    225,200       14,529,774  

Yamada Denki Co. Ltd.

    1,544,100       7,510,172  

Yamazaki Baking Co. Ltd.

    243,400       4,362,606  
   

 

 

 
          678,813,739  
Malaysia — 0.6%            

Hong Leong Bank Bhd

    1,572,900       4,920,400  

IHH Healthcare Bhd

    2,271,100       2,836,590  

Malayan Banking Bhd

    3,501,600       6,040,713  

Maxis Bhd(b)

    4,000,000       4,857,964  

Petronas Chemicals Group Bhd

    2,033,600       2,946,907  

Petronas Dagangan Bhd

    569,500       3,075,759  

Public Bank Bhd

    2,643,160       8,912,875  
   

 

 

 
      33,591,208  
Netherlands — 0.6%            

Koninklijke Ahold Delhaize NV

    738,708       18,743,011  

Koninklijke KPN NV

    2,053,602       5,034,648  

Unilever NV

    173,272       8,960,438  
   

 

 

 
      32,738,097  
New Zealand — 0.2%            

Fisher & Paykel Healthcare Corp. Ltd.

    228,754       4,246,844  

Spark New Zealand Ltd.

    2,540,054       6,952,342  
   

 

 

 
      11,199,186  
Norway — 0.2%            

Telenor ASA

    870,905       13,206,730  
   

 

 

 
Peru — 0.1%            

Credicorp Ltd.

    20,553       2,832,614  
   

 

 

 
Philippines — 0.2%            

BDO Unibank Inc.

    3,314,149       6,573,302  

Jollibee Foods Corp.

    51,370       110,311  

PLDT Inc.

    164,535       4,144,254  
   

 

 

 
      10,827,867  
Qatar — 0.3%            

Qatar Islamic Bank SAQ

    868,491       3,652,510  
 

 

 

2   


Schedule of Investments  (unaudited) (continued)

May 31, 2020

  

iShares® Edge MSCI Min Vol Global ETF

(Percentages shown are based on Net Assets)

 

Security   Shares     Value  
Qatar (continued)            

Qatar National Bank QPSC

    2,896,636     $ 13,985,615  
   

 

 

 
      17,638,125  
Russia — 0.4%            

Polymetal International PLC

    520,629       10,417,555  

Polyus PJSC

    65,724       10,860,457  
   

 

 

 
      21,278,012  
Saudi Arabia — 0.9%            

Alinma Bank(a)

    2,417,120       9,654,863  

Arab National Bank

    538,539       2,895,516  

Bank AlBilad

    454,025       2,683,252  

Bank Al-Jazira

    1,041,627       3,179,998  

Jarir Marketing Co.

    144,105       5,324,768  

Saudi Arabian Fertilizer Co.

    360,362       7,403,001  

Saudi Basic Industries Corp.

    147,897       3,340,099  

Saudi Telecom Co.

    550,956       14,991,282  

Yanbu National Petrochemical Co.

    212,004       2,878,501  
   

 

 

 
      52,351,280  
Singapore — 0.8%            

CapitaLand Commercial Trust

    3,889,400       4,815,657  

CapitaLand Mall Trust

    6,025,800       8,654,573  

Oversea-Chinese Banking Corp. Ltd.(b)

    654,300       3,958,020  

SATS Ltd.

    251,000       472,379  

Singapore Airlines Ltd.(b)

    1,339,600       3,620,541  

Singapore Exchange Ltd.

    397,600       2,329,226  

Singapore Telecommunications Ltd.

    12,378,400       21,807,143  
   

 

 

 
      45,657,539  
South Korea — 0.3%            

DB Insurance Co. Ltd.

    32,205       1,128,586  

Hyundai Marine & Fire Insurance Co. Ltd.

    131,666       2,578,142  

S-1 Corp.

    42,680       3,211,899  

SK Telecom Co. Ltd.

    49,683       8,665,290  
   

 

 

 
      15,583,917  
Sweden — 0.2%            

Telefonaktiebolaget LM Ericsson, Class B

    1,082,049       9,838,950  

Telia Co. AB

    836,043       2,865,414  
   

 

 

 
      12,704,364  
Switzerland — 4.9%            

Chocoladefabriken Lindt & Spruengli AG, Registered

    241       20,921,620  

Givaudan SA, Registered

    3,325       11,930,129  

Kuehne + Nagel International AG,
Registered(a)

    75,453       10,869,882  

Nestle SA, Registered

    659,440       71,291,182  

Novartis AG, Registered

    334,309       28,893,178  

Partners Group Holding AG

    9,869       8,160,647  

Roche Holding AG, NVS

    126,337       43,751,764  

Sonova Holding AG, Registered

    37,009       8,109,081  

Swiss Prime Site AG, Registered

    104,875       9,759,368  

Swisscom AG, Registered

    63,253       32,907,098  

Zurich Insurance Group AG

    90,724       29,227,728  
   

 

 

 
          275,821,677  
Taiwan — 4.3%            

Advantech Co. Ltd.

    838,000       8,289,292  

Asustek Computer Inc.

    1,600,000       11,217,319  

AU Optronics Corp.

    15,000,000       3,786,844  

Chang Hwa Commercial Bank Ltd.

    12,368,732       7,744,618  

Chicony Electronics Co. Ltd.

    1,451,020       4,156,127  

China Development Financial Holding Corp.

    30,440,000       9,215,640  

China Steel Corp.

    10,357,000       6,829,929  

Chunghwa Telecom Co. Ltd.

    9,435,000       34,723,314  
Security   Shares     Value  
Taiwan (continued)            

Compal Electronics Inc.

    10,449,000     $ 6,646,991  

CTBC Financial Holding Co. Ltd.

    4,883,000       3,244,491  

E.Sun Financial Holding Co. Ltd.

    10,199,568       9,053,072  

Far EasTone Telecommunications Co. Ltd.

    3,751,000       8,082,921  

First Financial Holding Co. Ltd.

    24,495,606       18,641,952  

Formosa Petrochemical Corp.

    1,012,000       2,955,950  

Hua Nan Financial Holdings Co. Ltd.

    19,414,332       12,576,478  

Inventec Corp.

    4,045,000       3,287,194  

Lite-On Technology Corp.

    5,207,000       8,341,605  

Mega Financial Holding Co. Ltd.

    23,336,000       23,899,484  

Nan Ya Plastics Corp.

    1,281,000       2,683,594  

Quanta Computer Inc.

    4,896,000       11,414,488  

Synnex Technology International Corp.

    3,460,250       5,116,906  

Taishin Financial Holding Co. Ltd.

    11,026,000       4,773,955  

Taiwan Cooperative Financial Holding Co. Ltd.

    23,081,226       15,682,165  

Taiwan Mobile Co. Ltd.

    4,054,000       14,514,738  

WPG Holdings Ltd.

    3,895,760       5,092,709  
   

 

 

 
          241,971,776  
Thailand — 0.8%            

Advanced Info Service PCL, NVDR

    826,300       5,000,401  

Airports of Thailand PCL, NVDR

    6,479,500       12,629,016  

Bangkok Dusit Medical Services PCL, NVDR

    9,111,700       6,444,931  

Bangkok Expressway & Metro PCL, NVDR

    16,283,400       5,042,172  

BTS Group Holdings PCL, NVDR

    14,234,400       5,414,531  

Bumrungrad Hospital PCL, NVDR

    845,700       3,190,317  

CP ALL PCL, NVDR(a)

    1,293,000       2,865,655  

Home Product Center PCL, NVDR

    9,200,300       4,280,555  
   

 

 

 
      44,867,578  
United Arab Emirates — 0.2%            

Emirates Telecommunications Group Co. PJSC

    2,140,636       9,114,669  

First Abu Dhabi Bank PJSC

    956,356       2,884,833  
   

 

 

 
      11,999,502  
United Kingdom — 0.4%            

Admiral Group PLC

    114,597       3,305,308  

AstraZeneca PLC

    41,992       4,454,283  

Direct Line Insurance Group PLC

    68,605       224,424  

GlaxoSmithKline PLC

    786,992       16,265,919  
   

 

 

 
      24,249,934  
United States — 52.9%            

Accenture PLC, Class A

    49,980       10,076,968  

AGNC Investment Corp.

    74,923       969,504  

Alleghany Corp.

    32,043       16,441,263  

Allstate Corp. (The)

    276,565       27,050,823  

Altria Group Inc.

    229,836       8,975,096  

Ameren Corp.

    80,335       6,003,435  

American Electric Power Co. Inc.

    227,279       19,375,535  

American Tower Corp.

    67,264       17,365,547  

American Water Works Co. Inc.(b)

    118,475       15,046,325  

Amphenol Corp., Class A

    128,689       12,426,210  

Anthem Inc.

    26,963       7,930,088  

Aon PLC

    103,418       20,368,175  

Arthur J Gallagher & Co.

    80,689       7,607,359  

AT&T Inc.

    780,179       24,076,324  

Automatic Data Processing Inc.

    117,603       17,227,663  

AutoZone Inc.(a)

    16,350       18,767,511  

Baxter International Inc.

    196,956       17,728,010  

Berkshire Hathaway Inc., Class B(a)

    115,416       21,418,901  

Black Knight Inc.(a)

    333,775       25,693,999  

Booz Allen Hamilton Holding Corp.

    161,444       12,876,773  
 

 

 

     3  


Schedule of Investments  (unaudited) (continued)

May 31, 2020

  

iShares® Edge MSCI Min Vol Global ETF

(Percentages shown are based on Net Assets)

 

Security   Shares     Value  
United States (continued)            

Bristol-Myers Squibb Co.

    123,449     $ 7,372,374  

Broadridge Financial Solutions Inc.

    148,621           17,998,003  

Brown & Brown Inc.

    270,689       10,881,698  

Camden Property Trust

    17,864       1,635,806  

Campbell Soup Co.

    187,097       9,538,205  

Cboe Global Markets Inc.

    98,288       10,463,740  

CH Robinson Worldwide Inc.

    320,869       26,032,102  

Chubb Ltd.

    184,582       22,507,929  

Church & Dwight Co. Inc.

    259,278       19,463,999  

Cincinnati Financial Corp.

    156,019       9,197,320  

Cisco Systems Inc.

    847,021       40,504,544  

Citrix Systems Inc.(b)

    245,289       36,332,207  

Clorox Co. (The)

    167,410       34,528,312  

CME Group Inc.

    92,786       16,942,724  

CMS Energy Corp.

    160,087       9,377,896  

Coca-Cola Co. (The)

    951,739       44,427,177  

Cognizant Technology Solutions Corp., Class A

    53,063       2,812,339  

Colgate-Palmolive Co.

    209,280       15,137,222  

Comcast Corp., Class A

    360,864       14,290,214  

Consolidated Edison Inc.

    733,172       55,031,890  

Cooper Companies Inc. (The)

    13,995       4,436,135  

Costco Wholesale Corp.

    32,272       9,954,944  

Crown Castle International Corp.

    175,169       30,157,095  

Danaher Corp.(b)

    94,195       15,693,829  

Dollar General Corp.

    243,011       46,539,037  

Dominion Energy Inc.

    409,852       34,841,519  

Duke Energy Corp.

    485,745       41,594,344  

Duke Realty Corp.(b)

    266,484       9,188,368  

Ecolab Inc.

    37,256       7,919,880  

Eli Lilly & Co.

    293,627       44,910,250  

Entergy Corp.

    122,959       12,519,685  

Equity Residential

    255,155       15,452,187  

Erie Indemnity Co., Class A, NVS

    20,994       3,783,959  

Everest Re Group Ltd.

    69,489       13,787,312  

Evergy Inc.

    286,419       17,669,188  

Eversource Energy

    114,297       9,566,659  

Extra Space Storage Inc.

    157,140       15,203,295  

F5 Networks Inc.(a)(b)

    47,353       6,862,397  

Fidelity National Information Services Inc.

    208,728       28,977,708  

Fiserv Inc.(a)

    265,689       28,367,615  

General Mills Inc.

    162,379       10,236,372  

Genuine Parts Co.

    54,396       4,537,170  

Gilead Sciences Inc.

    905,622       70,484,560  

Hartford Financial Services Group Inc. (The)

    26,365       1,009,516  

Henry Schein Inc.(a)

    55,458       3,367,410  

Hershey Co. (The)

    241,924       32,824,248  

Home Depot Inc. (The)

    77,225       19,188,868  

Hormel Foods Corp.(b)

    691,922       33,786,551  

Humana Inc.

    19,461       7,991,660  

Intel Corp.

    59,255       3,728,917  

Intercontinental Exchange Inc.

    88,252       8,582,507  

International Business Machines Corp.

    105,580       13,186,942  

Intuit Inc.

    25,637       7,442,934  

Jack Henry & Associates Inc.

    182,490       33,005,141  

JM Smucker Co. (The)

    101,603       11,575,630  

Johnson & Johnson

    371,646       55,282,342  

Juniper Networks Inc.

    138,185       3,352,368  

Kellogg Co.

    356,810       23,303,261  

Keysight Technologies Inc.(a)

    461,440       49,895,507  

Kimberly-Clark Corp.

    152,773       21,608,213  
Security   Shares     Value  
United States (continued)            

L3Harris Technologies Inc.

    104,573     $ 20,857,085  

Liberty Broadband Corp., Class C, NVS(a)

    263,081       35,942,126  

Lockheed Martin Corp.

    44,114       17,135,642  

Markel Corp.(a)

    26,139       23,457,661  

Marsh & McLennan Companies Inc.

    270,693       28,671,803  

Mastercard Inc., Class A

    52,545       15,810,265  

McCormick & Co. Inc./MD, NVS

    150,475       26,357,201  

McDonald’s Corp.

    292,465       54,492,079  

Medtronic PLC

    250,902       24,733,919  

Merck & Co. Inc.

    840,391       67,836,362  

Microsoft Corp.

    48,239       8,839,797  

Mondelez International Inc., Class A

    109,898       5,727,884  

Motorola Solutions Inc.

    257,460       34,842,062  

Newmont Corp.

    1,216,248       71,114,021  

NextEra Energy Inc.

    227,303       58,089,555  

Oracle Corp.

    102,958       5,536,052  

O’Reilly Automotive Inc.(a)

    30,797       12,849,740  

Palo Alto Networks Inc.(a)

    20,925       4,923,025  

Paychex Inc.

    457,995       33,103,879  

PepsiCo Inc.

    437,421       57,542,733  

Pfizer Inc.

    549,777       20,995,984  

Philip Morris International Inc.

    39,873       2,925,083  

Procter & Gamble Co. (The)

    327,745       37,992,200  

Progressive Corp. (The)

    203,954       15,843,147  

Public Storage

    173,626       35,200,935  

Regeneron Pharmaceuticals Inc.(a)

    133,299       81,686,960  

RenaissanceRe Holdings Ltd.

    109,106       18,314,533  

Republic Services Inc.

    553,196       47,276,130  

Ross Stores Inc.

    138,829       13,460,860  

Southern Co. (The)

    765,883       43,708,943  

Starbucks Corp.

    307,394       23,973,658  

Stryker Corp.

    27,216       5,326,988  

Target Corp.

    84,822       10,376,275  

TJX Companies Inc. (The)

    432,179       22,801,764  

TransUnion

    34,799       3,002,806  

Travelers Companies Inc. (The)

    169,948       18,181,037  

Tyler Technologies Inc.(a)

    96,799       36,329,633  

UnitedHealth Group Inc.

    37,148       11,324,568  

Universal Health Services Inc., Class B

    36,648       3,864,532  

VeriSign Inc.(a)

    47,874       10,484,885  

Verizon Communications Inc.

    1,406,935       80,729,930  

Visa Inc., Class A(b)

    292,159       57,041,123  

Walmart Inc.(b)

    412,144       51,130,585  

Walt Disney Co. (The)

    66,397       7,788,368  

Waste Management Inc.

    584,153       62,358,333  

WEC Energy Group Inc.

    502,692       46,111,937  

Western Union Co. (The)

    987,073       19,761,201  

WR Berkley Corp.

    342,365       19,840,052  

Xcel Energy Inc.

    702,638       45,692,549  
   

 

 

 
          2,985,104,623  
   

 

 

 

Total Common Stocks — 99.3%
(Cost: $5,063,705,582)

      5,600,598,209  
   

 

 

 

Warrants

   

Thailand — 0.0%

   

BTS Group Holdings PCL (Expires 02/16/21)(a)

    1       0 (e)  
   

 

 

 

Total Warrants — 0.0%
(Cost: $0)

      0 (e)  
   

 

 

 
 

 

 

4   


Schedule of Investments  (unaudited) (continued)

May 31, 2020

  

iShares® Edge MSCI Min Vol Global ETF

(Percentages shown are based on Net Assets)

 

 

Security   Shares     Value  

Short-Term Investments

   
Money Market Funds — 2.0%            

BlackRock Cash Funds: Institutional,
SL Agency Shares,
    0.69%(f)(g)(h)

    103,696,305     $ 103,851,850  

BlackRock Cash Funds: Treasury,
SL Agency Shares,
    0.16%(f)(g)

    10,418,000       10,418,000  
   

 

 

 
          114,269,850  
   

 

 

 

Total Short-Term Investments — 2.0%
(Cost: $114,100,742)

 

    114,269,850  
   

 

 

 

Total Investments in Securities — 101.3%
(Cost: $5,177,806,324)

 

    5,714,868,059  

Other Assets, Less Liabilities — (1.3)%

 

    (73,985,773
   

 

 

 

Net Assets — 100.0%

 

  $     5,640,882,286  
   

 

 

 

 

 

(a) 

Non-income producing security.

(b) 

All or a portion of this security is on loan.

(c) 

Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.

(d) 

Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.

(e) 

Rounds to less than $1.

(f) 

Affiliate of the Fund.

(g) 

Annualized 7-day yield as of period-end.

(h) 

All or a portion of this security was purchased with cash received from loaned securities.

 

 

Affiliates

Investments in issuers considered to be affiliates of the Fund during the period ended May 31, 2020, for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:

 

Affiliated Issuer     

Shares
Held at
08/31/19
 
 
 
     Net Activity       

Shares
Held at
05/31/20
 
 
 
    
Value at
05/31/20
 
 
     Income       
Net Realized
Gain (Loss)
 
(a) 
    


Change in
Unrealized
Appreciation
(Depreciation)
 
 
 
 

BlackRock Cash Funds: Institutional,
SL Agency Shares

     25,414,810        78,281,495        103,696,305      $ 103,851,850      $ 326,293 (b)     $ (21,063    $ 162,026  

BlackRock Cash Funds: Treasury,
SL Agency Shares

     10,157,000        261,000        10,418,000        10,418,000        105,250                
           

 

 

    

 

 

    

 

 

    

 

 

 
            $ 114,269,850      $ 431,543      $ (21,063    $ 162,026  
           

 

 

    

 

 

    

 

 

    

 

 

 

 

  (a)

Includes realized capital gain distributions from an affiliated fund, if any.

 
  (b)

Includes securities lending income earned from the reinvestment of cash collateral from loaned securities (excluding collateral investment fees), net of fees and other payments to and from borrowers of securities, and less fees paid to BTC as securities lending agent.

 

Futures Contracts

 

Description    Number of
Contracts
     Expiration
Date
     Notional
Amount
(000)
     Value/
Unrealized
Appreciation
(Depreciation)
 

Long Contracts

           

2-Year U.S. Treasury Note

     27        09/30/20      $ 5,963      $ 1,413  

MSCI EAFE E-Mini Index

     152        06/19/20        13,114        1,068,178  

MSCI Emerging Markets E-Mini Index

     85        06/19/20        3,965        219,114  

S&P 500 E-Mini Index

     106        06/19/20        16,123        1,579,897  
           

 

 

 
            $ 2,868,602  
           

 

 

 

Fair Value Measurements

Various inputs are used in determining the fair value of financial instruments. For description of the input levels and information about the Fund’s policy regarding valuation of financial instruments, refer to a recently published shareholder report. Shareholder reports are available on the Fund’s website at iShares.com and on the U.S. Securities and Exchange Commission website at sec.gov.

 

 

     5  


Schedule of Investments  (unaudited) (continued)

May 31, 2020

  

iShares® Edge MSCI Min Vol Global ETF

 

Fair Value Measurements (continued)

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of May 31, 2020. The breakdown of the Fund’s investments into major categories is disclosed in the Schedule of Investments above.

 

      Level 1      Level 2        Level 3        Total  

Investments

               

Assets

               

Common Stocks

   $ 5,548,246,926      $ 52,351,280        $ 3        $ 5,600,598,209  

Warrants

     0 (a)                          0 (a)  

Money Market Funds

     114,269,850                          114,269,850  
  

 

 

    

 

 

      

 

 

      

 

 

 
   $ 5,662,516,776      $ 52,351,280        $ 3        $ 5,714,868,059  
  

 

 

    

 

 

      

 

 

      

 

 

 

Derivative financial instruments(b)

               

Assets

               

Futures Contracts

   $ 2,868,602      $        $        $ 2,868,602  
  

 

 

    

 

 

      

 

 

      

 

 

 

 

  (a) 

Rounds to less than $1.

 
  (b) 

Shown at the unrealized appreciation (depreciation) on the contracts.

 

 

Portfolio Abbreviations — Equity
ADR    American Depositary Receipt
NVDR    Non-Voting Depositary Receipt
NVS    Non-Voting Shares

 

 

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