IGM

Fund Description
The iShares Expanded Tech Sector ETF seeks to track the investment results of an index composed of North American equities in the technology sector and select North American equities from communication services to consumer discretionary sectors. The Underlying Index includes companies in the following categories: producers of sophisticated computer-related devices; providers of communications equipment and internet services; producers of computer and internet software; consultants for information technology; providers of computer services; semiconductors and semiconductor equipment manufacturers; and select company engaging in content and information creation or distribution.
Fund Profile
Fund Name iShares Expanded Tech Sector ETF
Fund Exchange Ticker IGM
Fund Sponsor Blackrock (iShares)
Fund ISIN US4642875490
Net Expense Ratio 0.47 %
Fund Inception Date 13 March 2001
Fund Legal Structure ETF (Open end fund)
Exchange NYSE Arca
Listing Country Code US
Fund Investment Objective
ETF Type Specific Global or ExUS Equities - Industry Sector
Asset Class Equities (Stocks)
Index Linked Passive
Index Name S&P North American Expanded Technology Sector Index
Index Provider S&P DJ Indices
Currency Hedged No
Inverse / Leveraged Not Applicable
Developed / Emerging Developed Market Funds
Market Capitalization Range Broad Market / Multi-Cap
Growth Value Core / Blend
Continent North America
Key Statistics
Return As of Date 15 March 2019
Asset Under Management 1582.78 Million (USD)
1 Month Total Return 4.74 %
Year To Date Return 18.88 %
1 Year Total Return 6.81 %
3 Year Annualized Total Return 24.90 %
NAV 204.23
Share Outstanding 7,750,000
Top 10 Holdings (15 March 2019)
Constituent Name Constituent Ticker Constituent Type Weighting
APPLE INC AAPL EQUI 0.0881000000
AMAZON.COM INC AMZN EQUI 0.0860000000
MICROSOFT CORP MSFT EQUI 0.0857000000
FACEBOOK INC-CLASS A FB EQUI 0.0518000000
ALPHABET INC-CL C GOOG EQUI 0.0427000000
ALPHABET INC-CL A GOOGL EQUI 0.0418000000
VISA INC-CLASS A SHARES V EQUI 0.0356000000
INTEL CORP INTC EQUI 0.0319000000
CISCO SYSTEMS INC CSCO EQUI 0.0306000000
MASTERCARD INC - A MA EQUI 0.0279000000