ISINIE00BMZ17X30
Stock Name/CompanyiShares MSCI World SRI UCITS ETF USD Hedged (Dist)
Stock TypeETF
Country of IssueEurope
Umbrella EntityiShares IV Public Limited Company
Umbrella Legal Identifier (LEI)549300ZP07LMR36K1T02
Ticker SymbolSUWU (USD) - Euronext Amsterdam
Related ETFsiShares MSCI World SRI UCITS ETF USD (Dist)
iShares MSCI World SRI UCITS ETF
iShares MSCI World SRI UCITS ETF EUR Hedged (Dist) [IE00BMZ17W23]
iShares MSCI World SRI UCITS ETF GBP Hedged (Dist) GBP

iShares MSCI World SRI UCITS ETF USD Hedged (Dist)

iShares MSCI World SRI UCITS ETF USD Hedged (Dist) is an Equity ETF domiciled in Ireland with an ISIN of IE00BMZ17X30. The ETF is a fund of iShares IV Public Limited Company managed by BlackRock Asset Management Ireland Limited. The Equity is USD currency-based and adopts a Replicated approach of tracking the MSCI World SRI Select Reduced Fossil Fuel Index index. The ETF structure is based on Physical assets. Income received by the ETF eg dividend follows an Distributing 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 SUWU.

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

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IE00BMZ17X30 ETF holdings on 2025-09-25 (Thursday)

ETF trades on 2025-09-25
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Holding TickerNumber of Shares HeldValue of Shares HeldShare Price (Delta Previous)Comment
NVIDIA CORP (NASDAQ - NVDA)4,748,557USD 843,771,093USD 177.69New holding detected
TESLA INC (NASDAQ - TSLA)1,024,651USD 433,826,987USD 423.39New holding detected
ASML HOLDING NV (Euronext Amsterdam - ASML)337,794EUR 320,154,906EUR 947.78New holding detected
WALT DISNEY (New York Stock Exchange Inc. - DIS)1,855,320USD 209,632,607USD 112.99New holding detected
HOME DEPOT INC (New York Stock Exchange Inc. - HD)467,612USD 190,528,509USD 407.45New holding detected
VERIZON COMMUNICATIONS INC (New York Stock Exchange Inc. - VZ)4,328,387USD 187,635,576USD 43.35New holding detected
INTUIT INC (NASDAQ - INTU)238,828USD 165,431,379USD 692.68New holding detected
SERVICENOW INC (New York Stock Exchange Inc. - NOW)177,500USD 163,053,275USD 918.61New holding detected
SHOPIFY SUBORDINATE VOTING INC CLA (Toronto Stock Exchange - SHOP)1,046,134CAD 150,260,356CAD 143.63New holding detected
COCA-COLA (New York Stock Exchange Inc. - KO)2,224,296USD 146,759,050USD 65.98New holding detected
TEXAS INSTRUMENT INC (NASDAQ - TXN)778,430USD 141,705,397USD 182.04New holding detected
LAM RESEARCH CORP (NASDAQ - LRCX)1,092,635USD 139,999,323USD 128.13New holding detected
APPLIED MATERIAL INC (NASDAQ - AMAT)686,729USD 137,071,108USD 199.60New holding detected
ADOBE INC (NASDAQ - ADBE)363,135USD 128,607,892USD 354.16New holding detected
INTEL CORPORATION CORP (NASDAQ - INTC)3,733,604USD 126,905,200USD 33.99New holding detected
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Share price and value of shares held is calculated on the adjusted close price on 2025-09-25

IE00BMZ17X30 ETF holdings on 2025-09-24 (Wednesday)

ETF trades on 2025-09-24
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Detail on historic holdings of IE00BMZ17X30

Shares Issued in SUWU

DateShares IssuedNum New SUWU SharesNAVMarket value of new SUWU shares issuedValue of shares added to portfolio holdingsCash or Equivalent
2025-09-257,493,4290 @ N/AUSD 8.24USD 0USD 0USD 26,205,382
EUR 1,722,750
GBP 1,621,704
2025-09-247,493,4290 @ N/AUSD 8.28USD 0USD 0USD 26,423,790
EUR 1,732,635
GBP 1,493,095
2025-09-237,493,4290 @ N/AUSD 8.29USD 0USD 0
2025-09-227,493,4290 @ N/AUSD 8.32USD 0USD 0
2025-09-197,493,429264,998 @ N/AUSD 8.28USD 0USD 0
2025-08-127,228,4310 @ N/AUSD 8.09USD 0USD 0USD 14,397,056
EUR 2,033,830
GBP 1,061,530
2025-08-117,228,4310 @ N/AUSD 8.01USD 0USD 0USD 14,181,891
EUR 2,022,720
GBP 1,055,230
2025-08-087,228,4310 @ N/AUSD 8.03USD 0USD 0USD 13,816,800
EUR 1,864,750
GBP 1,057,670
2025-08-077,228,4310 @ N/AUSD 8USD 0USD 0USD 13,542,100
EUR 1,599,940
GBP 1,054,880
2025-08-067,228,4310 @ N/AUSD 7.97USD 0USD 0USD 13,492,400
EUR 1,600,490
GBP 586,079
USD 0USD 0
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

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