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CRBN - iShares MSCI ACWI Low Carbon Target ETF (USD) (US46434V4648)

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(%)
US46434V4648
CRBN ISIN
Exchange Traded Funds (ETF)
Type of fund
BlackRock
Provider
251.22 USD
NAV per Share | 13/07/2026
08/12/2014
Inception Date
2 times per year
Dividend payments
CEOJMS
CFI
CRBN
Ticker
Formed
Status
Equity
Investment category
Large Cap
Sector
Global
Investor locations
MSCI ACWI Low Carbon Target Index
Benchmark
0.2 %
Total Cost Ratio
Physical
Replication method
1,143.73 mln USD
Fund NAV | 10/07/2026
No
UCITS

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Yield on 13/07/2026, NYSE Arca

  • YTD
    7.31 %
  • 1M
    1.96 %
  • 3M
    5.06 %
  • 6M
    12.65 %
  • 1Y
    24.97 %
  • 3Y
    73.61 %
  • 5Y
    64.71 %
  • 10Y
    -
At the price on the exchange, taking into account income payments

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Quotes (CRBN)

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Price dynamics

Fund profile

The iShares MSCI ACWI Low Carbon Target ETF seeks to replicate as close as possible the price and yield performance of the MSCI ACWI Low Carbon Target Index by investing in a portfolio comprised primarily of global companies with a low carbon exposure

CRBN profile

The iShares MSCI ACWI Low Carbon Target ETF (USD) is a(n) Equity Exchange Traded Funds (ETF) seeks to invest in Large Cap sector located in Global. The BlackRock fund’s base currency is USD and the share class was registered 08.12.2014 with unique ISIN - US46434V4648. Main exchange is NYSE Arca and ticker symbol is CRBN. The total expense ratio is 0.2%. The iShares MSCI ACWI Low Carbon Target ETF (USD) pays dividends 2 time(s) per year.

Structure CRBN on 14/05/2026

Paper Value
NVIDIA CORP 5.65%
APPLE INC 4.43%
MICROSOFT CORP 2.9%
AMAZON.COM INC 2.58%
ALPHABET INC CLASS A 2.44%
BROADCOM INC 1.98%
TAIWAN SEMICONDUCTOR MANUFACTURING 1.86%
ALPHABET INC CLASS C 1.78%
META PLATFORMS INC CLASS A 1.32%
TESLA INC 1.3%
MICRON TECHNOLOGY INC 0.93%
JPMORGAN CHASE & CO 0.86%
ELI LILLY 0.8%
ADVANCED MICRO DEVICES INC 0.74%
JOHNSON & JOHNSON 0.71%
SAMSUNG ELECTRONICS LTD 0.7%
ASML HOLDING NV 0.63%
SK HYNIX INC 0.63%
HALLIBURTON 0.61%
VISA INC CLASS A 0.58%
WALMART INC 0.58%
CISCO SYSTEMS INC 0.57%
INTEL CORPORATION CORP 0.51%
COCA-COLA 0.48%
MASTERCARD INC CLASS A 0.44%
PROCTER & GAMBLE 0.44%
PHILIP MORRIS INTERNATIONAL INC 0.43%
BERKSHIRE HATHAWAY INC CLASS B 0.42%
TENCENT HOLDINGS LTD 0.4%
ABBVIE INC 0.4%
BANK OF AMERICA CORP 0.38%
KLA CORP 0.38%
NETFLIX INC 0.38%
LAM RESEARCH CORP 0.37%
UNITEDHEALTH GROUP INC 0.37%
HOME DEPOT INC 0.35%
ORACLE CORP 0.34%
MERCK & CO INC 0.34%
NOVARTIS AG 0.34%
HSBC HOLDINGS PLC 0.34%
GOLDMAN SACHS GROUP INC 0.33%
COSTCO WHOLESALE CORP 0.32%
TEXAS INSTRUMENT INC 0.32%
ALIBABA GROUP HOLDING LTD 0.32%
MCDONALDS CORP 0.32%
CITIGROUP INC 0.32%
ALTRIA GROUP INC 0.31%
PALANTIR TECHNOLOGIES INC CLASS A 0.31%
VERIZON COMMUNICATIONS INC 0.31%
SCHNEIDER ELECTRIC 0.31%
MITSUBISHI UFJ FINANCIAL GROUP INC 0.31%
ROYAL BANK OF CANADA 0.3%
SK SQUARE LTD 0.3%
ABB LTD 0.3%
ROCHE PS PAR AG 0.3%
ANALOG DEVICES INC 0.29%
APPLIED MATERIAL INC 0.28%
WHEATON PRECIOUS METALS CORP 0.28%
BRITISH AMERICAN TOBACCO 0.28%
WELLS FARGO 0.27%
ASTRAZENECA PLC 0.27%
AT&T INC 0.26%
ALLIANZ 0.26%
QUALCOMM INC 0.25%
SOUTHERN COPPER CORP 0.25%
VERTIV HOLDINGS CLASS A 0.25%
BANCO SANTANDER 0.24%
MORGAN STANLEY 0.24%
GRACO INC 0.23%
AMPHENOL CORP CLASS A 0.23%
IDEX CORP 0.23%
TEXAS PACIFIC LAND CORP 0.23%
WILLIAMS INC 0.23%
AMGEN INC 0.22%
SIEMENS N AG 0.22%
KEYENCE CORP 0.22%
UNION PACIFIC CORP 0.22%
INTERNATIONAL BUSINESS MACHINES CO 0.22%
TENARIS SA 0.22%
GILEAD SCIENCES INC 0.21%
SEAGATE TECHNOLOGY HOLDINGS PLC 0.21%
AMETEK INC 0.21%
PFIZER INC 0.21%
SUMITOMO MITSUI FINANCIAL GROUP IN 0.21%
MARVELL TECHNOLOGY INC 0.2%
ENBRIDGE INC 0.2%
KINDER MORGAN INC 0.2%
INVESTOR CLASS B 0.2%
CME GROUP INC CLASS A 0.19%
BAKER HUGHES CLASS A 0.19%
TORONTO DOMINION 0.19%
ORIX CORP 0.19%
SAP 0.19%
EATON PLC 0.19%
CHARLES SCHWAB CORP 0.19%
BRISTOL MYERS SQUIBB 0.19%
ADVANTEST CORP 0.19%
MEDIATEK INC 0.19%
CHUBB 0.18%
RELIANCE STEEL & ALUMINUM 0.18%
Other - %

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