Schedule of Investments (unaudited) April 30, 2021 | BlackRock U.S. Equity Factor Rotation ETF (Percentages shown are based on Net Assets) |
Security | Shares | Value | ||||||
Common Stocks |
| |||||||
Communication Services — 9.3% | ||||||||
Activision Blizzard Inc. | 3,025 | $ | 275,850 | |||||
Alphabet Inc., Class A(a) | 246 | 578,961 | ||||||
Alphabet Inc., Class C, NVS(a) | 258 | 621,811 | ||||||
Altice USA Inc., Class A(a) | 1,033 | 37,508 | ||||||
AT&T Inc. | 46,366 | 1,456,356 | ||||||
Cable One Inc. | 17 | 30,430 | ||||||
Charter Communications Inc., Class A(a) | 217 | 146,139 | ||||||
Comcast Corp., Class A | 6,593 | 370,197 | ||||||
Discovery Inc., Class A(a) | 1,558 | 58,674 | ||||||
Discovery Inc., Class C, NVS(a) | 3,376 | 109,079 | ||||||
DISH Network Corp., Class A(a) | 1,970 | 88,236 | ||||||
Electronic Arts Inc. | 1,592 | 226,191 | ||||||
Facebook Inc., Class A(a) | 1,992 | 647,559 | ||||||
Fox Corp., Class A, NVS | 2,112 | 79,031 | ||||||
Fox Corp., Class B | 1,345 | 48,931 | ||||||
IAC/InterActiveCorp.(a) | 311 | 78,829 | ||||||
Interpublic Group of Companies Inc. (The) | 2,967 | 94,202 | ||||||
Liberty Broadband Corp., Class A(a) | 17 | 2,680 | ||||||
Liberty Broadband Corp., Class C, NVS(a) | 628 | 102,188 | ||||||
Liberty Global PLC, Class A(a) | 734 | 19,745 | ||||||
Liberty Global PLC, Class C, NVS(a) | 1,996 | 54,012 | ||||||
Liberty Media Corp.-Liberty Formula One, Class C, NVS(a) | 836 | 39,242 | ||||||
Liberty Media Corp.-Liberty SiriusXM, Class A(a) | 757 | 34,209 | ||||||
Liberty Media Corp.-Liberty SiriusXM, Class C, NVS(a) | 1,096 | 49,572 | ||||||
Live Nation Entertainment Inc.(a) | 519 | 42,496 | ||||||
Lumen Technologies Inc. | 10,330 | 132,534 | ||||||
Match Group Inc.(a) | 427 | 66,454 | ||||||
Netflix Inc.(a) | 333 | 170,986 | ||||||
News Corp., Class A, NVS | 3,772 | 98,808 | ||||||
Omnicom Group Inc. | 1,161 | 95,504 | ||||||
Pinterest Inc., Class A(a) | 1,394 | 92,520 | ||||||
Roku Inc.(a) | 192 | 65,850 | ||||||
Sirius XM Holdings Inc.(b) | 7,309 | 44,585 | ||||||
Snap Inc., Class A, NVS(a) | 1,683 | 104,043 | ||||||
T-Mobile U.S. Inc.(a) | 2,273 | 300,331 | ||||||
Take-Two Interactive Software Inc.(a) | 953 | 167,137 | ||||||
Twitter Inc.(a) | 705 | 38,930 | ||||||
Verizon Communications Inc. | 7,828 | 452,380 | ||||||
ViacomCBS Inc., Class B, NVS | 4,998 | 205,018 | ||||||
Walt Disney Co. (The)(a) | 2,638 | 490,721 | ||||||
Zillow Group Inc., Class A(a) | 161 | 21,469 | ||||||
Zillow Group Inc., Class C, NVS(a) | 383 | 49,836 | ||||||
|
| |||||||
7,889,234 | ||||||||
Consumer Discretionary — 11.6% | ||||||||
Advance Auto Parts Inc. | 234 | 46,838 | ||||||
Airbnb Inc., Class A(a)(b) | 175 | 30,224 | ||||||
Amazon.com Inc.(a) | 117 | 405,688 | ||||||
Aptiv PLC(a) | 308 | 44,318 | ||||||
Aramark | 1,016 | 39,492 | ||||||
Autoliv Inc.(a) | 413 | 41,573 | ||||||
AutoZone Inc.(a) | 86 | 125,914 | ||||||
Best Buy Co. Inc. | 2,403 | 279,397 | ||||||
Booking Holdings Inc.(a) | 242 | 596,791 | ||||||
BorgWarner Inc. | 2,304 | 111,928 | ||||||
Burlington Stores Inc.(a) | 149 | 48,623 | ||||||
CarMax Inc.(a) | 371 | 49,432 | ||||||
Carnival Corp.(a) | 1,966 | 54,969 | ||||||
Carvana Co.(a) | 213 | 60,760 |
Security | Shares | Value | ||||||
Consumer Discretionary (continued) | ||||||||
Chewy Inc., Class A(a)(b) | 563 | $ | 44,882 | |||||
Chipotle Mexican Grill Inc.(a) | 24 | 35,809 | ||||||
Darden Restaurants Inc. | 326 | 47,831 | ||||||
Dollar General Corp. | 774 | 166,217 | ||||||
Dollar Tree Inc.(a) | 761 | 87,439 | ||||||
Domino’s Pizza Inc. | 165 | 69,686 | ||||||
DR Horton Inc. | 3,146 | 309,220 | ||||||
DraftKings Inc., Class A(a)(b) | 740 | 41,928 | ||||||
eBay Inc. | 870 | 48,537 | ||||||
Etsy Inc.(a) | 382 | 75,938 | ||||||
Expedia Group Inc. | 282 | 49,697 | ||||||
Ford Motor Co.(a) | 33,347 | 384,824 | ||||||
Garmin Ltd. | 1,218 | 167,158 | ||||||
General Motors Co. | 12,670 | 724,978 | ||||||
Genuine Parts Co. | 346 | 43,240 | ||||||
Hasbro Inc. | 369 | 36,697 | ||||||
Hilton Worldwide Holdings Inc.(a) | 328 | 42,214 | ||||||
Home Depot Inc. (The) | 544 | 176,077 | ||||||
Las Vegas Sands Corp. | 562 | 34,428 | ||||||
Lear Corp. | 681 | 125,195 | ||||||
Lennar Corp., Class A | 2,180 | 225,848 | ||||||
LKQ Corp.(a) | 1,790 | 83,611 | ||||||
Lowe’s Companies Inc. | 784 | 153,860 | ||||||
Lululemon Athletica Inc.(a) | 698 | 234,019 | ||||||
Marriott International Inc./MD, Class A(a) | 270 | 40,100 | ||||||
McDonald’s Corp. | 1,103 | 260,396 | ||||||
MercadoLibre Inc.(a) | 79 | 124,108 | ||||||
MGM Resorts International | 1,290 | 52,529 | ||||||
Mohawk Industries Inc.(a) | 668 | 137,274 | ||||||
Newell Brands Inc. | 3,729 | 100,534 | ||||||
Nike Inc., Class B | 5,752 | 762,830 | ||||||
NVR Inc.(a) | 23 | 115,416 | ||||||
O’Reilly Automotive Inc.(a) | 173 | 95,648 | ||||||
Peloton Interactive Inc., Class A(a) | 631 | 62,059 | ||||||
Pool Corp. | 353 | 149,150 | ||||||
PulteGroup Inc. | 3,326 | 196,633 | ||||||
Ross Stores Inc. | 1,379 | 180,566 | ||||||
Royal Caribbean Cruises Ltd. | 471 | 40,954 | ||||||
Starbucks Corp. | 1,328 | 152,043 | ||||||
Target Corp. | 4,436 | 919,405 | ||||||
Tesla Inc.(a) | 748 | 530,661 | ||||||
TJX Companies Inc. (The) | 638 | 45,298 | ||||||
Tractor Supply Co. | 778 | 146,731 | ||||||
Ulta Beauty Inc.(a) | 127 | 41,828 | ||||||
Vail Resorts Inc. | 133 | 43,246 | ||||||
VF Corp. | 391 | 34,275 | ||||||
Wayfair Inc., Class A(a)(b) | 209 | 61,774 | ||||||
Whirlpool Corp. | 543 | 128,392 | ||||||
Wynn Resorts Ltd.(a) | 363 | 46,609 | ||||||
Yum! Brands Inc. | 285 | 34,063 | ||||||
|
| |||||||
9,847,802 | ||||||||
Consumer Staples — 6.2% | ||||||||
Altria Group Inc. | 6,635 | 316,821 | ||||||
Archer-Daniels-Midland Co. | 668 | 42,171 | ||||||
Brown-Forman Corp., Class B, NVS | 1,538 | 117,319 | ||||||
Bunge Ltd. | 591 | 49,892 | ||||||
Campbell Soup Co. | 1,252 | 59,783 | ||||||
Church & Dwight Co. Inc. | 1,038 | 88,998 | ||||||
Clorox Co. (The) | 616 | 112,420 | ||||||
Coca-Cola Co. (The) | 12,650 | 682,847 |
1 |
Schedule of Investments (unaudited) (continued) April 30, 2021 | BlackRock U.S. Equity Factor Rotation ETF (Percentages shown are based on Net Assets) |
Security | Shares | Value | ||||||
Consumer Staples (continued) | ||||||||
Colgate-Palmolive Co. | 1,050 | $ | 84,735 | |||||
Conagra Brands Inc. | 2,310 | 85,678 | ||||||
Constellation Brands Inc., Class A | 169 | 40,614 | ||||||
Costco Wholesale Corp. | 382 | 142,138 | ||||||
Estee Lauder Companies Inc. (The), Class A | 125 | 39,225 | ||||||
General Mills Inc. | 1,022 | 62,199 | ||||||
Hershey Co. (The) | 1,787 | 293,604 | ||||||
Hormel Foods Corp. | 3,253 | 150,289 | ||||||
JM Smucker Co. (The) | 1,119 | 146,578 | ||||||
Kellogg Co. | 1,531 | 95,565 | ||||||
Keurig Dr Pepper Inc. | 1,100 | 39,435 | ||||||
Kimberly-Clark Corp. | 2,559 | 341,166 | ||||||
Kraft Heinz Co. (The) | 5,320 | 219,663 | ||||||
Kroger Co. (The) | 9,459 | 345,632 | ||||||
Lamb Weston Holdings Inc. | 467 | 37,594 | ||||||
McCormick & Co. Inc./MD, NVS | 1,135 | 102,559 | ||||||
Molson Coors Beverage Co., Class B | 2,381 | 130,836 | ||||||
Mondelez International Inc., Class A | 1,814 | 110,309 | ||||||
Monster Beverage Corp.(a) | 1,837 | 178,281 | ||||||
PepsiCo Inc. | 1,627 | 234,548 | ||||||
Philip Morris International Inc. | 594 | 56,430 | ||||||
Procter & Gamble Co. (The) | 1,518 | 202,532 | ||||||
Sysco Corp. | 445 | 37,705 | ||||||
Tyson Foods Inc., Class A | 2,130 | 164,968 | ||||||
Walmart Inc. | 1,241 | 173,628 | ||||||
Walgreens Boots Alliance Inc. | 5,924 | 314,564 | ||||||
|
| |||||||
5,300,726 | ||||||||
Energy — 2.1% | ||||||||
Baker Hughes Co. | 9,686 | 194,495 | ||||||
Cabot Oil & Gas Corp. | 2,592 | 43,209 | ||||||
Cheniere Energy Inc.(a) | 1,710 | 132,559 | ||||||
Chevron Corp. | 382 | 39,373 | ||||||
ConocoPhillips | 1,671 | 85,455 | ||||||
Devon Energy Corp. | 2,413 | 56,416 | ||||||
EOG Resources Inc. | 1,901 | 139,989 | ||||||
Exxon Mobil Corp. | 7,474 | 427,812 | ||||||
Halliburton Co. | 2,245 | 43,912 | ||||||
Hess Corp. | 700 | 52,157 | ||||||
Kinder Morgan Inc. | 6,282 | 107,108 | ||||||
Marathon Petroleum Corp. | 854 | 47,525 | ||||||
Occidental Petroleum Corp. | 2,550 | 64,668 | ||||||
ONEOK Inc. | 1,074 | 56,213 | ||||||
Phillips 66 | 542 | 43,853 | ||||||
Pioneer Natural Resources Co. | 342 | 52,610 | ||||||
Schlumberger Ltd. | 1,654 | 44,741 | ||||||
Valero Energy Corp. | 1,325 | 97,997 | ||||||
Williams Companies Inc. (The) | 1,647 | 40,121 | ||||||
|
| |||||||
1,770,213 | ||||||||
Financials — 10.0% | ||||||||
Aflac Inc. | 3,650 | 196,115 | ||||||
AGNC Investment Corp. | 3,530 | 63,293 | ||||||
Alleghany Corp.(a) | 59 | 40,059 | ||||||
Allstate Corp. (The) | 1,015 | 128,702 | ||||||
Ally Financial Inc. | 2,111 | 108,611 | ||||||
American Express Co. | 271 | 41,558 | ||||||
American Financial Group Inc./OH | 379 | 46,564 | ||||||
American International Group Inc. | 3,127 | 151,503 | ||||||
Ameriprise Financial Inc. | 777 | 200,777 | ||||||
Annaly Capital Management Inc. | 7,196 | 65,340 |
Security | Shares | Value | ||||||
Financials (continued) | ||||||||
Aon PLC, Class A | 1,746 | $ | 439,014 | |||||
Apollo Global Management Inc. | 748 | 41,417 | ||||||
Arch Capital Group Ltd.(a) | 1,014 | 40,266 | ||||||
Arthur J Gallagher & Co. | 1,097 | 159,010 | ||||||
Assurant Inc. | 264 | 41,078 | ||||||
Athene Holding Ltd., Class A(a) | 1,232 | 73,513 | ||||||
Bank of America Corp. | 1,109 | 44,948 | ||||||
Bank of New York Mellon Corp. (The) | 1,638 | 81,703 | ||||||
Berkshire Hathaway Inc., Class B(a) | 505 | 138,850 | ||||||
Blackstone Group Inc. (The) | 550 | 48,670 | ||||||
Brown & Brown Inc. | 2,263 | 120,346 | ||||||
Capital One Financial Corp. | 1,446 | 215,570 | ||||||
Carlyle Group Inc. (The) | 1,180 | 50,339 | ||||||
Cboe Global Markets Inc. | 814 | 84,957 | ||||||
Charles Schwab Corp. (The) | 642 | 45,197 | ||||||
Cincinnati Financial Corp. | 416 | 46,875 | ||||||
Citigroup Inc. | 6,451 | 459,569 | ||||||
Citizens Financial Group Inc. | 2,134 | 98,762 | ||||||
CME Group Inc. | 679 | 137,151 | ||||||
Discover Financial Services | 459 | 52,326 | ||||||
Equitable Holdings Inc. | 2,711 | 92,798 | ||||||
Erie Indemnity Co., Class A, NVS | 356 | 76,191 | ||||||
Everest Re Group Ltd. | 495 | 137,090 | ||||||
FactSet Research Systems Inc. | 313 | 105,237 | ||||||
Fidelity National Financial Inc. | 1,961 | 89,461 | ||||||
Fifth Third Bancorp | 2,298 | 93,161 | ||||||
First Republic Bank/CA | 257 | 47,093 | ||||||
Franklin Resources Inc. | 1,891 | 56,730 | ||||||
Globe Life Inc. | 793 | 81,275 | ||||||
Goldman Sachs Group Inc. (The) | 783 | 272,836 | ||||||
Hartford Financial Services Group Inc. (The) | 1,113 | 73,413 | ||||||
Huntington Bancshares Inc./OH | 3,062 | 46,910 | ||||||
Intercontinental Exchange Inc. | 1,150 | 135,367 | ||||||
Invesco Ltd. | 3,233 | 87,291 | ||||||
JPMorgan Chase & Co. | 259 | 39,837 | ||||||
KeyCorp. | 2,143 | 46,632 | ||||||
KKR & Co. Inc. | 904 | 51,148 | ||||||
Lincoln National Corp. | 1,421 | 91,129 | ||||||
Loews Corp. | 1,323 | 73,757 | ||||||
M&T Bank Corp. | 297 | 46,834 | ||||||
Markel Corp.(a) | 86 | 101,172 | ||||||
MarketAxess Holdings Inc. | 329 | 160,703 | ||||||
Marsh & McLennan Companies Inc. | 1,199 | 162,704 | ||||||
MetLife Inc. | 2,642 | 168,110 | ||||||
Moody’s Corp. | 118 | 38,552 | ||||||
Morgan Stanley | 2,736 | 225,857 | ||||||
MSCI Inc. | 129 | 62,664 | ||||||
Nasdaq Inc. | 274 | 44,262 | ||||||
Northern Trust Corp. | 351 | 39,944 | ||||||
PNC Financial Services Group Inc. (The) | 247 | 46,177 | ||||||
Principal Financial Group Inc. | 1,178 | 75,239 | ||||||
Progressive Corp. (The) | 3,833 | 386,136 | ||||||
Prudential Financial Inc. | 1,534 | 153,952 | ||||||
Raymond James Financial Inc. | 373 | 48,781 | ||||||
Regions Financial Corp. | 3,969 | 86,524 | ||||||
Reinsurance Group of America Inc. | 403 | 52,604 | ||||||
RenaissanceRe Holdings Ltd. | 596 | 100,611 | ||||||
S&P Global Inc. | 95 | 37,087 | ||||||
SEI Investments Co. | 1,280 | 78,643 | ||||||
State Street Corp. | 471 | 39,540 |
2 |
Schedule of Investments (unaudited) (continued) April 30, 2021 | BlackRock U.S. Equity Factor Rotation ETF (Percentages shown are based on Net Assets) |
Security | Shares | Value | ||||||
Financials (continued) | ||||||||
SVB Financial Group(a) | 299 | $ | 170,977 | |||||
Synchrony Financial | 1,076 | 47,064 | ||||||
T Rowe Price Group Inc. | 1,461 | 261,811 | ||||||
Tradeweb Markets Inc., Class A | 582 | 47,305 | ||||||
Travelers Companies Inc. (The) | 796 | 123,109 | ||||||
Truist Financial Corp. | 701 | 41,576 | ||||||
U.S. Bancorp | 731 | 43,385 | ||||||
Voya Financial Inc. | 855 | 57,986 | ||||||
W R Berkley Corp. | 488 | 38,903 | ||||||
Wells Fargo & Co. | 5,781 | 260,434 | ||||||
Willis Towers Watson PLC | 318 | 82,318 | ||||||
|
| |||||||
8,490,403 | ||||||||
Health Care — 13.6% | ||||||||
10X Genomics Inc., Class A(a) | 342 | 67,648 | ||||||
Abbott Laboratories | 646 | 77,572 | ||||||
AbbVie Inc. | 6,953 | 775,259 | ||||||
ABIOMED Inc.(a) | 135 | 43,299 | ||||||
Agilent Technologies Inc. | 874 | 116,801 | ||||||
Alexion Pharmaceuticals Inc.(a) | 635 | 107,112 | ||||||
Align Technology Inc.(a) | 138 | 82,183 | ||||||
Alnylam Pharmaceuticals Inc.(a) | 282 | 39,660 | ||||||
AmerisourceBergen Corp. | 598 | 72,238 | ||||||
Amgen Inc. | 1,135 | 271,991 | ||||||
Anthem Inc. | 651 | 246,983 | ||||||
Avantor Inc.(a) | 1,680 | 53,827 | ||||||
Baxter International Inc. | 1,418 | 121,508 | ||||||
Becton Dickinson and Co. | 305 | 75,887 | ||||||
Biogen Inc.(a) | 841 | 224,825 | ||||||
BioMarin Pharmaceutical Inc.(a) | 817 | 63,661 | ||||||
Bio-Rad Laboratories Inc., Class A(a) | 160 | 100,821 | ||||||
Boston Scientific Corp.(a) | 930 | 40,548 | ||||||
Bristol-Myers Squibb Co. | 4,793 | 299,179 | ||||||
Cardinal Health Inc. | 1,214 | 73,253 | ||||||
Catalent Inc.(a) | 450 | 50,612 | ||||||
Centene Corp.(a) | 1,573 | 97,117 | ||||||
Cerner Corp. | 563 | 42,253 | ||||||
Cigna Corp. | 1,067 | 265,694 | ||||||
Cooper Companies Inc. (The) | 225 | 92,450 | ||||||
CVS Health Corp. | 4,155 | 317,442 | ||||||
Danaher Corp. | 1,561 | 396,400 | ||||||
DaVita Inc.(a) | 477 | 55,585 | ||||||
DENTSPLY SIRONA Inc. | 883 | 59,611 | ||||||
DexCom Inc.(a) | 102 | 39,382 | ||||||
Edwards Lifesciences Corp.(a) | 1,149 | 109,752 | ||||||
Elanco Animal Health Inc.(a) | 1,170 | 37,101 | ||||||
Eli Lilly & Co. | 1,314 | 240,160 | ||||||
Exact Sciences Corp.(a) | 312 | 41,128 | ||||||
Gilead Sciences Inc. | 6,419 | 407,414 | ||||||
HCA Healthcare Inc. | 207 | 41,619 | ||||||
Henry Schein Inc.(a) | 782 | 56,695 | ||||||
Hologic Inc.(a) | 675 | 44,246 | ||||||
Horizon Therapeutics PLC(a) | 809 | 76,548 | ||||||
Humana Inc. | 206 | 91,719 | ||||||
IDEXX Laboratories Inc.(a) | 149 | 81,800 | ||||||
Illumina Inc.(a) | 254 | 99,781 | ||||||
Incyte Corp.(a) | 1,131 | 96,565 | ||||||
Insulet Corp.(a)(b) | 128 | 37,788 | ||||||
Intuitive Surgical Inc.(a) | 152 | 131,480 | ||||||
Ionis Pharmaceuticals Inc.(a) | 1,128 | 48,301 | ||||||
IQVIA Holdings Inc.(a) | 199 | 46,703 |
Security | Shares | Value | ||||||
Health Care (continued) | ||||||||
Jazz Pharmaceuticals PLC(a) | 354 | $ | 58,198 | |||||
Johnson & Johnson | 4,582 | 745,629 | ||||||
Laboratory Corp. of America Holdings(a) | 172 | 45,730 | ||||||
Masimo Corp.(a)(b) | 326 | 75,850 | ||||||
McKesson Corp. | 560 | 105,034 | ||||||
Medtronic PLC | 1,727 | 226,099 | ||||||
Merck & Co. Inc. | 6,116 | 455,642 | ||||||
Mettler-Toledo International Inc.(a) | 77 | 101,126 | ||||||
Moderna Inc.(a) | 827 | 147,884 | ||||||
Molina Healthcare Inc.(a) | 148 | 37,755 | ||||||
Neurocrine Biosciences Inc.(a) | 598 | 56,505 | ||||||
Novocure Ltd.(a) | 351 | 71,639 | ||||||
PerkinElmer Inc. | 376 | 48,741 | ||||||
Pfizer Inc. | 18,517 | 715,682 | ||||||
PPD Inc.(a) | 1,165 | 53,823 | ||||||
Quest Diagnostics Inc. | 354 | 46,686 | ||||||
Regeneron Pharmaceuticals Inc.(a) | 624 | 300,331 | ||||||
ResMed Inc. | 392 | 73,684 | ||||||
Royalty Pharma PLC, Class A | 835 | 36,740 | ||||||
Sarepta Therapeutics Inc.(a) | 269 | 19,056 | ||||||
Seagen Inc.(a) | 429 | 61,673 | ||||||
STERIS PLC | 177 | 37,351 | ||||||
Stryker Corp. | 523 | 137,355 | ||||||
Teladoc Health Inc.(a) | 345 | 59,461 | ||||||
Teleflex Inc. | 90 | 38,023 | ||||||
Thermo Fisher Scientific Inc. | 500 | 235,115 | ||||||
UnitedHealth Group Inc. | 1,399 | 557,921 | ||||||
Universal Health Services Inc., Class B | 413 | 61,293 | ||||||
Veeva Systems Inc., Class A(a) | 443 | 125,125 | ||||||
Vertex Pharmaceuticals Inc.(a) | 1,119 | 244,166 | ||||||
Viatris Inc.(a) | 6,650 | 88,445 | ||||||
Waters Corp.(a) | 148 | 44,381 | ||||||
West Pharmaceutical Services Inc. | 284 | 93,300 | ||||||
Zimmer Biomet Holdings Inc. | 271 | 48,010 | ||||||
Zoetis Inc. | 1,298 | 224,593 | ||||||
|
| |||||||
11,537,647 | ||||||||
Industrials — 9.7% | ||||||||
3M Co. | 1,727 | 340,461 | ||||||
A O Smith Corp. | 960 | 65,040 | ||||||
Allegion PLC | 545 | 73,237 | ||||||
AMERCO | 170 | 101,427 | ||||||
AMETEK Inc. | 278 | 37,511 | ||||||
Boeing Co. (The)(a) | 163 | 38,192 | ||||||
Booz Allen Hamilton Holding Corp. | 888 | 73,660 | ||||||
Carrier Global Corp. | 5,020 | 218,772 | ||||||
Caterpillar Inc. | 193 | 44,025 | ||||||
CH Robinson Worldwide Inc. | 1,876 | 182,122 | ||||||
Cintas Corp. | 95 | 32,788 | ||||||
Copart Inc.(a) | 915 | 113,927 | ||||||
CoStar Group Inc.(a) | 64 | 54,683 | ||||||
CSX Corp. | 357 | 35,968 | ||||||
Cummins Inc. | 1,090 | 274,724 | ||||||
Deere & Co. | 358 | 132,764 | ||||||
Delta Air Lines Inc.(a) | 940 | 44,105 | ||||||
Dover Corp. | 267 | 39,834 | ||||||
Eaton Corp. PLC | 1,231 | 175,947 | ||||||
Emerson Electric Co. | 430 | 38,911 | ||||||
Equifax Inc. | 193 | 44,241 | ||||||
Expeditors International of Washington Inc. | 995 | 109,311 | ||||||
Fastenal Co. | 2,547 | 133,157 |
3 |
Schedule of Investments (unaudited) (continued) April 30, 2021 | BlackRock U.S. Equity Factor Rotation ETF (Percentages shown are based on Net Assets) |
Security | Shares | Value | ||||||
Industrials (continued) | ||||||||
FedEx Corp. | 1,170 | $ | 339,663 | |||||
Fortive Corp. | 502 | 35,552 | ||||||
Fortune Brands Home & Security Inc. | 509 | 53,435 | ||||||
Generac Holdings Inc.(a) | 266 | 86,171 | ||||||
General Dynamics Corp. | 482 | 91,691 | ||||||
General Electric Co. | 11,622 | 152,481 | ||||||
HEICO Corp. | 110 | 15,488 | ||||||
HEICO Corp., Class A | 182 | 22,983 | ||||||
Honeywell International Inc. | 2,264 | 504,963 | ||||||
Howmet Aerospace Inc.(a) | 1,541 | 49,250 | ||||||
Huntington Ingalls Industries Inc. | 378 | 80,257 | ||||||
IDEX Corp. | 177 | 39,683 | ||||||
IHS Markit Ltd. | 563 | 60,567 | ||||||
Illinois Tool Works Inc. | 1,238 | 285,309 | ||||||
Ingersoll Rand Inc.(a) | 755 | 37,305 | ||||||
Jacobs Engineering Group Inc. | 322 | 43,022 | ||||||
JB Hunt Transport Services Inc. | 266 | 45,409 | ||||||
Johnson Controls International PLC | 2,682 | 167,196 | ||||||
Kansas City Southern | 187 | 54,643 | ||||||
Knight-Swift Transportation Holdings Inc. | 1,417 | 66,769 | ||||||
L3Harris Technologies Inc. | 805 | 168,430 | ||||||
Leidos Holdings Inc. | 545 | 55,198 | ||||||
Lennox International Inc. | 118 | 39,570 | ||||||
Lockheed Martin Corp. | 336 | 127,868 | ||||||
Masco Corp. | 609 | 38,903 | ||||||
Nordson Corp. | 173 | 36,574 | ||||||
Norfolk Southern Corp. | 133 | 37,139 | ||||||
Northrop Grumman Corp. | 296 | 104,914 | ||||||
Old Dominion Freight Line Inc. | 478 | 123,233 | ||||||
Otis Worldwide Corp. | 614 | 47,812 | ||||||
Owens Corning | 943 | 91,292 | ||||||
PACCAR Inc. | 1,347 | 121,068 | ||||||
Parker-Hannifin Corp. | 130 | 40,795 | ||||||
Pentair PLC | 702 | 45,286 | ||||||
Plug Power Inc.(a)(b) | 673 | 19,187 | ||||||
Raytheon Technologies Corp. | 2,752 | 229,076 | ||||||
Republic Services Inc. | 2,250 | 239,175 | ||||||
Robert Half International Inc. | 895 | 78,411 | ||||||
Rockwell Automation Inc. | 208 | 54,966 | ||||||
Rollins Inc. | 2,281 | 85,036 | ||||||
Roper Technologies Inc. | 78 | 34,822 | ||||||
Sensata Technologies Holding PLC(a) | 838 | 48,386 | ||||||
Snap-on Inc. | 285 | 67,716 | ||||||
Southwest Airlines Co. | 1,215 | 76,278 | ||||||
Stanley Black & Decker Inc. | 191 | 39,493 | ||||||
Sunrun Inc.(a) | 805 | 39,445 | ||||||
Teledyne Technologies Inc.(a) | 94 | 42,088 | ||||||
Textron Inc. | 1,425 | 91,542 | ||||||
Trane Technologies PLC | 430 | 74,747 | ||||||
TransDigm Group Inc.(a) | 58 | 35,597 | ||||||
TransUnion | 346 | 36,188 | ||||||
Uber Technologies Inc.(a) | 667 | 36,532 | ||||||
Union Pacific Corp. | 152 | 33,758 | ||||||
United Parcel Service Inc., Class B | 897 | 182,862 | ||||||
United Rentals Inc.(a) | 524 | 167,654 | ||||||
Verisk Analytics Inc. | 436 | 82,055 | ||||||
Waste Connections Inc. | 1,907 | 227,143 | ||||||
Waste Management Inc. | 1,985 | 273,870 | ||||||
Westinghouse Air Brake Technologies Corp. | 1,009 | 82,809 | ||||||
WW Grainger Inc. | 211 | 91,477 |
Security | Shares | Value | ||||||
Industrials (continued) | ||||||||
XPO Logistics Inc.(a) | 333 | $ | 46,327 | |||||
Xylem Inc./NY | 368 | 40,719 | ||||||
|
| |||||||
8,272,085 | ||||||||
Information Technology — 26.1% | ||||||||
Accenture PLC, Class A | 1,895 | 549,493 | ||||||
Adobe Inc.(a) | 1,554 | 789,960 | ||||||
Advanced Micro Devices Inc.(a) | 1,322 | 107,902 | ||||||
Akamai Technologies Inc.(a) | 1,144 | 124,353 | ||||||
Amphenol Corp., Class A | 2,088 | 140,606 | ||||||
Analog Devices Inc. | 260 | 39,822 | ||||||
ANSYS Inc.(a) | 154 | 56,312 | ||||||
Apple Inc. | 9,182 | 1,207,066 | ||||||
Applied Materials Inc. | 4,425 | 587,242 | ||||||
Arista Networks Inc.(a) | 255 | 80,368 | ||||||
Arrow Electronics Inc.(a) | 894 | 101,979 | ||||||
Autodesk Inc.(a) | 598 | 174,562 | ||||||
Automatic Data Processing Inc. | 1,456 | 272,257 | ||||||
Avalara Inc.(a) | 311 | 44,072 | ||||||
Black Knight Inc.(a) | 1,843 | 133,470 | ||||||
Broadcom Inc. | 174 | 79,379 | ||||||
Broadridge Financial Solutions Inc. | 596 | 94,543 | ||||||
Cadence Design Systems Inc.(a) | 917 | 120,833 | ||||||
CDW Corp./DE | 242 | 43,156 | ||||||
Ceridian HCM Holding Inc.(a) | 465 | 43,933 | ||||||
Cisco Systems Inc. | 16,684 | 849,382 | ||||||
Citrix Systems Inc. | 1,283 | 158,900 | ||||||
Cloudflare Inc., Class A(a) | 781 | 66,182 | ||||||
Cognex Corp. | 514 | 44,266 | ||||||
Cognizant Technology Solutions Corp., Class A | 2,576 | 207,110 | ||||||
Corning Inc. | 3,989 | 176,354 | ||||||
Coupa Software Inc.(a) | 164 | 44,123 | ||||||
Crowdstrike Holdings Inc., Class A(a) | 449 | 93,621 | ||||||
Datadog Inc., Class A(a) | 635 | 54,464 | ||||||
Dell Technologies Inc., Class C(a) | 1,431 | 140,710 | ||||||
DocuSign Inc.(a) | 439 | 97,871 | ||||||
Dropbox Inc., Class A(a)(b) | 1,928 | 49,550 | ||||||
Dynatrace Inc.(a) | 1,076 | 55,995 | ||||||
Enphase Energy Inc.(a) | 457 | 63,637 | ||||||
EPAM Systems Inc.(a) | 153 | 70,036 | ||||||
F5 Networks Inc.(a) | 386 | 72,089 | ||||||
Fair Isaac Corp.(a) | 112 | 58,398 | ||||||
Fidelity National Information Services Inc. | 2,175 | 332,557 | ||||||
Fiserv Inc.(a) | 1,321 | 158,679 | ||||||
FleetCor Technologies Inc.(a) | 244 | 70,204 | ||||||
Fortinet Inc.(a) | 538 | 109,876 | ||||||
Gartner Inc.(a) | 216 | 42,310 | ||||||
Global Payments Inc. | 172 | 36,916 | ||||||
GoDaddy Inc., Class A(a) | 457 | 39,677 | ||||||
Guidewire Software Inc.(a) | 312 | 32,919 | ||||||
Hewlett Packard Enterprise Co. | 13,576 | 217,487 | ||||||
HP Inc. | 9,986 | 340,622 | ||||||
HubSpot Inc.(a) | 135 | 71,071 | ||||||
Intel Corp. | 30,594 | 1,760,073 | ||||||
International Business Machines Corp. | 4,637 | 657,898 | ||||||
Intuit Inc. | 565 | 232,870 | ||||||
IPG Photonics Corp.(a) | 185 | 40,165 | ||||||
Jack Henry & Associates Inc. | 982 | 159,899 | ||||||
Juniper Networks Inc. | 3,898 | 98,970 | ||||||
Keysight Technologies Inc.(a) | 1,193 | 172,210 | ||||||
KLA Corp. | 384 | 121,094 |
4 |
Schedule of Investments (unaudited) (continued) April 30, 2021 | BlackRock U.S. Equity Factor Rotation ETF (Percentages shown are based on Net Assets) |
Security | Shares | Value | ||||||
Information Technology (continued) | ||||||||
Lam Research Corp. | 781 | $ | 484,571 | |||||
Marvell Technology Inc. | 1,240 | 56,060 | ||||||
Mastercard Inc., Class A | 2,129 | 813,406 | ||||||
Maxim Integrated Products Inc. | 835 | 78,490 | ||||||
Microchip Technology Inc. | 260 | 39,075 | ||||||
Micron Technology Inc.(a) | 9,469 | 814,997 | ||||||
Microsoft Corp. | 6,092 | 1,536,281 | ||||||
MongoDB Inc.(a) | 183 | 54,435 | ||||||
Monolithic Power Systems Inc. | 161 | 58,182 | ||||||
Motorola Solutions Inc. | 916 | 172,483 | ||||||
NetApp Inc. | 1,196 | 89,329 | ||||||
NortonLifeLock Inc. | 2,702 | 58,390 | ||||||
NVIDIA Corp. | 646 | 387,845 | ||||||
NXP Semiconductors NV | 993 | 191,162 | ||||||
Okta Inc.(a) | 241 | 64,998 | ||||||
ON Semiconductor Corp.(a) | 2,806 | 109,434 | ||||||
Oracle Corp. | 2,747 | 208,195 | ||||||
Palo Alto Networks Inc.(a) | 199 | 70,325 | ||||||
Paychex Inc. | 2,666 | 259,908 | ||||||
Paycom Software Inc.(a) | 194 | 74,576 | ||||||
PayPal Holdings Inc.(a) | 1,331 | 349,108 | ||||||
PTC Inc.(a) | 357 | 46,746 | ||||||
Qorvo Inc.(a) | 794 | 149,407 | ||||||
QUALCOMM Inc. | 1,129 | 156,705 | ||||||
RingCentral Inc., Class A(a) | 118 | 37,636 | ||||||
salesforce.com Inc.(a) | 840 | 193,469 | ||||||
Seagate Technology PLC | 1,756 | 163,027 | ||||||
ServiceNow Inc.(a) | 261 | 132,163 | ||||||
Skyworks Solutions Inc. | 990 | 179,517 | ||||||
Slack Technologies Inc., Class A(a) | 1,224 | 51,898 | ||||||
Snowflake Inc., Class A(a) | 130 | 30,107 | ||||||
SolarEdge Technologies Inc.(a) | 217 | 57,188 | ||||||
Splunk Inc.(a) | 281 | 35,524 | ||||||
Square Inc., Class A(a)(b) | 604 | 147,871 | ||||||
SS&C Technologies Holdings Inc. | 878 | 65,165 | ||||||
Synopsys Inc.(a) | 288 | 71,153 | ||||||
TE Connectivity Ltd. | 1,173 | 157,733 | ||||||
Teradyne Inc. | 675 | 84,429 | ||||||
Texas Instruments Inc. | 2,245 | 405,245 | ||||||
Trade Desk Inc. (The), Class A(a) | 80 | 58,345 | ||||||
Trimble Inc.(a) | 596 | 48,872 | ||||||
Twilio Inc., Class A(a) | 286 | 105,191 | ||||||
Tyler Technologies Inc.(a) | 457 | 194,161 | ||||||
VeriSign Inc.(a) | 415 | 90,790 | ||||||
Visa Inc., Class A | 3,687 | 861,136 | ||||||
VMware Inc., Class A(a)(b) | 231 | 37,152 | ||||||
Western Digital Corp. | 2,750 | 194,232 | ||||||
Western Union Co. (The) | 5,698 | 146,780 | ||||||
Workday Inc., Class A(a) | 150 | 37,050 | ||||||
Xilinx Inc. | 589 | 75,368 | ||||||
Zebra Technologies Corp., Class A(a) | 101 | 49,262 | ||||||
Zendesk Inc.(a) | 362 | 52,906 | ||||||
Zoom Video Communications Inc., Class A(a) | 716 | 228,812 | ||||||
Zscaler Inc.(a) | 363 | 68,113 | ||||||
|
| |||||||
22,173,896 | ||||||||
Materials — 3.5% | ||||||||
Air Products & Chemicals Inc. | 718 | 207,129 | ||||||
Albemarle Corp. | 362 | 60,878 | ||||||
Amcor PLC | 5,563 | 65,365 | ||||||
Avery Dennison Corp. | 402 | 86,096 |
Security | Shares | Value | ||||||
Materials (continued) | ||||||||
Axalta Coating Systems Ltd.(a) | 1,127 | $ | 35,940 | |||||
Ball Corp. | 743 | 69,574 | ||||||
Celanese Corp. | 243 | 38,066 | ||||||
CF Industries Holdings Inc. | 1,119 | 54,417 | ||||||
Corteva Inc. | 2,677 | 130,530 | ||||||
Crown Holdings Inc. | 350 | 38,430 | ||||||
Dow Inc. | 605 | 37,812 | ||||||
DuPont de Nemours Inc. | 423 | 32,617 | ||||||
Eastman Chemical Co. | 735 | 84,812 | ||||||
Ecolab Inc. | 1,141 | 255,721 | ||||||
FMC Corp. | 311 | 36,773 | ||||||
Freeport-McMoRan Inc. | 3,123 | 117,768 | ||||||
International Flavors & Fragrances Inc. | 416 | 59,143 | ||||||
International Paper Co. | 1,651 | 95,758 | ||||||
Linde PLC | 171 | 48,879 | ||||||
LyondellBasell Industries NV, Class A | 1,661 | 172,312 | ||||||
Martin Marietta Materials Inc. | 131 | 46,259 | ||||||
Mosaic Co. (The) | 3,237 | 113,878 | ||||||
Newmont Corp. | 4,383 | 273,543 | ||||||
Nucor Corp. | 1,536 | 126,351 | ||||||
Packaging Corp. of America | 449 | 66,295 | ||||||
PPG Industries Inc. | 608 | 104,114 | ||||||
RPM International Inc. | 386 | 36,608 | ||||||
Sealed Air Corp. | 798 | 39,421 | ||||||
Sherwin-Williams Co. (The) | 577 | 158,023 | ||||||
Steel Dynamics Inc. | 1,780 | 96,512 | ||||||
Vulcan Materials Co. | 253 | 45,095 | ||||||
Westrock Co. | 2,136 | 119,082 | ||||||
|
| |||||||
2,953,201 | ||||||||
Real Estate — 3.7% | ||||||||
Alexandria Real Estate Equities Inc. | 214 | 38,755 | ||||||
American Tower Corp. | 586 | 149,295 | ||||||
AvalonBay Communities Inc. | 481 | 92,352 | ||||||
Boston Properties Inc. | 336 | 36,742 | ||||||
Camden Property Trust | 345 | 41,566 | ||||||
CBRE Group Inc., Class A(a) | 3,314 | 282,353 | ||||||
Crown Castle International Corp. | 713 | 134,800 | ||||||
Digital Realty Trust Inc. | 237 | 36,571 | ||||||
Duke Realty Corp. | 1,693 | 78,758 | ||||||
Equinix Inc. | 58 | 41,804 | ||||||
Equity LifeStyle Properties Inc. | 536 | 37,198 | ||||||
Equity Residential | 1,547 | 114,834 | ||||||
Essex Property Trust Inc. | 130 | 37,768 | ||||||
Extra Space Storage Inc. | 703 | 104,529 | ||||||
Healthpeak Properties Inc. | 1,221 | 41,929 | ||||||
Host Hotels & Resorts Inc. | 10,391 | 188,701 | ||||||
Invitation Homes Inc. | 1,238 | 43,404 | ||||||
Iron Mountain Inc. | 2,062 | 82,727 | ||||||
Medical Properties Trust Inc. | 1,847 | 40,726 | ||||||
Mid-America Apartment Communities Inc. | 293 | 46,098 | ||||||
Omega Healthcare Investors Inc. | 1,083 | 41,154 | ||||||
Prologis Inc. | 1,873 | 218,261 | ||||||
Public Storage | 1,629 | 458,010 | ||||||
Realty Income Corp. | 1,237 | 85,538 | ||||||
Regency Centers Corp. | 721 | 45,899 | ||||||
SBA Communications Corp. | 163 | 48,854 | ||||||
Simon Property Group Inc. | 1,366 | 166,297 | ||||||
Sun Communities Inc. | 235 | 39,205 | ||||||
UDR Inc. | 849 | 39,436 | ||||||
Ventas Inc. | 719 | 39,876 |
5 |
Schedule of Investments (unaudited) (continued) April 30, 2021 | BlackRock U.S. Equity Factor Rotation ETF (Percentages shown are based on Net Assets) |
Security | Shares | Value | ||||||
Real Estate (continued) | ||||||||
VEREIT Inc. | 995 | $ | 47,601 | |||||
VICI Properties Inc. | 1,287 | 40,798 | ||||||
Vornado Realty Trust | 892 | 40,809 | ||||||
Welltower Inc. | 536 | 40,216 | ||||||
Weyerhaeuser Co. | 1,219 | 47,261 | ||||||
WP Carey Inc. | 473 | 35,423 | ||||||
|
| |||||||
3,105,548 | ||||||||
Utilities — 4.0% | ||||||||
AES Corp. (The) | 1,591 | 44,262 | ||||||
Alliant Energy Corp. | 941 | 52,856 | ||||||
Ameren Corp. | 421 | 35,718 | ||||||
American Electric Power Co. Inc. | 1,118 | 99,178 | ||||||
American Water Works Co. Inc. | 303 | 47,265 | ||||||
Atmos Energy Corp. | 3,683 | 381,522 | ||||||
CenterPoint Energy Inc. | 1,455 | 35,633 | ||||||
CMS Energy Corp. | 1,075 | 69,219 | ||||||
Consolidated Edison Inc. | 2,149 | 166,354 | ||||||
Dominion Energy Inc. | 1,118 | 89,328 | ||||||
DTE Energy Co. | 256 | 35,845 | ||||||
Duke Energy Corp. | 1,866 | 187,887 | ||||||
Edison International | 538 | 31,984 | ||||||
Entergy Corp. | 308 | 33,661 | ||||||
Essential Utilities Inc. | 807 | 38,034 | ||||||
Evergy Inc. | 1,299 | 83,097 | ||||||
Eversource Energy | 762 | 65,700 | ||||||
Exelon Corp. | 4,970 | 223,352 | ||||||
FirstEnergy Corp. | 1,218 | 46,186 | ||||||
NextEra Energy Inc. | 4,459 | 345,617 | ||||||
NiSource Inc. | 1,433 | 37,287 | ||||||
NRG Energy Inc. | 1,828 | 65,479 | ||||||
OGE Energy Corp. | 6,571 | 220,523 | ||||||
PG&E Corp.(a) | 7,415 | 83,938 | ||||||
Pinnacle West Capital Corp. | 415 | 35,130 | ||||||
PPL Corp. | 3,341 | 97,323 |
Security | Shares | Value | ||||||
Utilities (continued) | ||||||||
Public Service Enterprise Group Inc. | 628 | $ | 39,664 | |||||
Sempra Energy | 275 | 37,832 | ||||||
Southern Co. (The) | 2,905 | 192,224 | ||||||
UGI Corp. | 1,503 | 65,696 | ||||||
Vistra Corp. | 4,387 | 74,009 | ||||||
WEC Energy Group Inc. | 1,348 | 130,985 | ||||||
Xcel Energy Inc. | 2,621 | 186,877 | ||||||
|
| |||||||
3,379,665 | ||||||||
|
| |||||||
Total Common Stocks — 99.8% | 84,720,420 | |||||||
|
| |||||||
Short-Term Investments | ||||||||
Money Market Funds — 0.9% | ||||||||
BlackRock Cash Funds: Institutional, SL Agency Shares, 0.08%(c)(d)(e) | 474,594 | 474,832 | ||||||
BlackRock Cash Funds: Treasury, SL Agency Shares, 0.00%(c)(d) | 262,000 | 262,000 | ||||||
|
| |||||||
736,832 | ||||||||
|
| |||||||
Total Short-Term Investments — 0.9% |
| 736,832 | ||||||
|
| |||||||
Total Investments In Securities — 100.7% |
| 85,457,252 | ||||||
Other Assets, Less Liabilities — (0.7)% | (608,199 | ) | ||||||
|
| |||||||
Net Assets — 100.0% | $ | 84,849,053 | ||||||
|
|
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan. |
(c) | Affiliate of the Fund. |
(d) | Annualized 7-day yield as of period-end. |
(e) | All or a portion of this security was purchased with cash collateral received from loaned securities. |
Affiliates
Investments in issuers considered to be affiliate(s) of the Fund during the period ended April 30, 2021 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
| ||||||||||||||||||||||||||||||||||||
Affiliated Issuer | Value at 07/31/20 | Purchases at Cost | Proceeds from Sales | Net Realized Gain (Loss) | Change in Unrealized Appreciation (Depreciation) | Value at 04/30/21 | Shares Held at 04/30/21 | Income | Capital Gain | |||||||||||||||||||||||||||
| ||||||||||||||||||||||||||||||||||||
BlackRock Cash Funds: Institutional, SL Agency Shares | $ | 677,741 | $ | — | $ | (202,555 | )(a) | $ | (124 | ) | $ | (230 | ) | $ | 474,832 | 474,594 | $ | 1,601 | (b) | $ | — | |||||||||||||||
BlackRock Cash Funds: Treasury, SL Agency Shares | 132,000 | 130,000 | (a) | — | — | — | 262,000 | 262,000 | 61 | — | ||||||||||||||||||||||||||
|
|
|
|
|
|
|
|
|
| |||||||||||||||||||||||||||
$ | (124 | ) | $ | (230 | ) | $ | 736,832 | $ | 1,662 | $ | — | |||||||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
(a) | Represents net amount purchased (sold). |
(b) | All or a portion represents securities lending income earned from the reinvestment of cash collateral from loaned securities, net of fees and collateral investment expenses, and other payments to and from borrowers of securities. |
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.
6 |
Schedule of Investments (unaudited) (continued) April 30, 2021 | BlackRock U.S. Equity Factor Rotation ETF |
Fair Value Measurements (continued)
The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of April 30, 2021. 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 | $ | 84,720,420 | $ | — | $ | — | $ | 84,720,420 | ||||||||
Money Market Funds | 736,832 | — | — | 736,832 | ||||||||||||
|
|
|
|
|
|
|
| |||||||||
$ | 85,457,252 | $ | — | $ | — | $ | 85,457,252 | |||||||||
|
|
|
|
|
|
|
|
Portfolio Abbreviations - Equity | ||
NVS | Non-Voting Shares |
7 |