ISINIE00BDDRF478
Fund NameiShares S&P 500 Communication Sector UCITS ETF USD (Acc)
ETF TypeETF
CountryUK
Umbrella EntityiShares V Public Limited Company
LEI549300QETNU1W5JY7Z94
Ticker SymbolIUCM (USD) - LSE
IU5C (EUR) - F
IUCM.LS (USD) - CXE
IUCM.L (GBP) - LSE

iShares S&P 500 Communication Sector UCITS ETF USD (Acc)

iShares S&P 500 Communication Sector UCITS ETF USD (Acc) is an Equity ETF domiciled in Ireland with an ISIN of IE00BDDRF478. The ETF is a fund of iShares V Public Limited Company managed by BlackRock Asset Management Ireland Limited. The Equity is USD currency-based and adopts a Replicated approach of tracking the S&P 500 Capped 35/20 Communication Services Index index. The ETF structure is based on Physical assets. Income received by the ETF eg dividend follows an Accumulating strategy. The ETF fund custodian is State Street Custodial Services (Ireland) Limited, and the administrator is State Street Fund Services (Ireland) Limited. The primary ticker for the ETF is IUCM.

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Based on recent adjusted close prices. Past performance is not indicative of future results.

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IE00BDDRF478 Holdings on 2026-02-09 (Monday)

ETF trades on 2026-02-09


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Values based on adjusted close price on 2026-02-09



IE00BDDRF478 Holdings on 2026-02-06 (Friday)

ETF trades on 2026-02-06


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Values based on adjusted close price on 2026-02-06



Detail on historic holdings of IE00BDDRF478

Shares Issued in IUCM

DateShares IssuedNum New IUCM SharesNAVMarket value of new IUCM shares issuedValue of shares added to portfolio holdingsCash or Equivalent
2026-02-0989,500,0000 @ N/AUSD 14.2 N/A (USD 0)USD 0USD-ICSUAGD   2,849,830
USD   2,421,433
USD-HSBFT   392,000
GBP   31,490
EUR   1,090
USD-XASH6   5,209,650
2026-02-0689,500,000250,000 @ N/AUSD 14.11 N/A (USD 0)USD 3,507,895USD-ICSUAGD   2,849,830
USD   2,403,682
USD-HSBFT   368,000
GBP   29,382
EUR   1,081
USD-XASH6   5,160,775
2026-02-0389,250,000-500,000 @ N/AUSD 14.35 N/A (USD 0)USD 0
2026-02-0289,750,0000 @ N/AUSD 14.51 N/A (USD 0)USD -7,215,279USD   4,510,686
USD-ICSUAGD   970,047
USD-HSBFT   368,000
GBP   29,411
EUR   1,079
USD-XASH6   5,336,725
2026-01-3089,750,000250,000 @ N/AUSD 14.56 N/A (USD 0)USD 0USD   4,582,180
USD-ICSUAGD   970,047
USD-HSBFT   368,000
GBP   29,556
EUR   1,088
USD-XASH6   5,356,275
2026-01-2989,500,000500,000 @ N/AUSD 14.47 N/A (USD 0)USD 10,796,294USD   4,535,449
USD-ICSUAGD   912,826
USD-HSBFT   369,000
GBP   29,647
EUR   1,091
USD-XASH6   5,347,350
2026-01-2889,000,000250,000 @ N/AUSD 14.12 N/A (USD 0)USD 0
2026-01-2788,750,000750,000 @ N/AUSD 14.12 N/A (USD 0)USD 3,510,009USD   4,503,443
USD-ICSUAGD   912,826
USD-HSBFT   369,000
GBP   29,619
EUR   1,094
USD-XASH6   5,216,450
2026-01-2688,000,0000 @ N/AUSD 14.17 N/A (USD 0)USD 10,567,272USD   4,420,815
USD-ICSUAGD   862,086
USD-HSBFT   369,000
GBP   29,524
EUR   1,088
USD-XASH6   5,254,700
2026-01-2388,000,0001,000,000 @ N/AUSD 14.05 N/A (USD 0)USD 0USD   4,468,156
USD-ICSUAGD   862,086
USD-HSBFT   369,000
GBP   29,215
EUR   1,076
USD-XASH6   5,221,975
0USD 21,166,191
The number of shares issued is based on the difference from the current number of shares and the last previous known number of shares and may not be the value of new issue shares on the date. Value of added shares to portfolio is based on adjusted close price x the number of new shares and may not be the price they were purchased at. The value of new ETF shares issued is based on the adjusted close price of the ETF - this may not be the actual price the new issues were sold for. Cash is made up of cash deposits or equivalent eg liquidity Dollars which are part of the holdings

Recent events of

DateEvent
2025-12-18IUCM NAV increased by 0.94% from 2025-12-17 to 2025-12-18.
2025-12-17IUCM NAV decreased by 1.22% from 2025-12-16 to 2025-12-17.
2025-12-16IUCM NAV increased by 0.36% from 2025-12-15 to 2025-12-16.
2025-12-15IUCM NAV decreased by 0.14% from 2025-12-12 to 2025-12-15.
2025-12-12IUCM NAV decreased by 0.36% from 2025-12-11 to 2025-12-12.
2025-12-11IUCM NAV decreased by 0.36% from 2025-12-10 to 2025-12-11.
2025-12-10IUCM NAV decreased by 0.21% from 2025-12-09 to 2025-12-10.
2025-12-09IUCM NAV decreased by 0.14% from 2025-12-08 to 2025-12-09.
2025-12-08IUCM NAV decreased by 1.54% from 2025-12-05 to 2025-12-08.
2025-12-05IUCM NAV increased by 0.63% from 2025-12-04 to 2025-12-05.

Disclaimer

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