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Fundology

MVUS holdings

As of , MVUS (iShares Edge S&P 500 Minimum Volatility UCITS ETF, ISIN IE00B6SPMN59) has 130 holdings on our record, together 100.0% of the fund; the ten largest make up 20.2%. Weights are shares of the whole fund.

MVUS: price, returns and charges

Largest holdings

The 10 largest holdings of MVUS, as a percentage of the whole fund, as of 29/09/2026
Rank#HoldingWeight as a percentage of the fund
1AppleAAPL2.10%
2Procter & GamblePG2.09%
3MicrosoftMSFT2.08%
4AbbVieABBV2.06%
5NVIDIANVDA2.04%
6Coca-ColaKO2.00%
7Visa · Class AV2.00%
8AmazonAMZN1.97%
9ExxonMobilXOM1.96%
10Berkshire Hathaway · Class BBRK B1.93%

Source: iShares, holdings as published, as of

More of the portfolio

The fund publishes 127 holdings; the ten largest make up 20.2% of it. The fund's portfolio is also split by currency.

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Where it invests

The whole portfolio by sector, country and type of asset, every line, as a share of the whole fund. Bonds, cash and positions the source does not classify are shown as they come, not guessed.

By sector

  1. Information Technology33.6%
  2. Financials14.7%
  3. Health Care14.4%
  4. Consumer Staples9.6%
  5. Energy8.2%
  6. Industrials5.8%
  7. Consumer Discretionary5.5%
  8. Communication Services5.2%
  9. Materials2.1%
  10. Utilities0.8%
  11. Cash and derivatives0.1%
As published by iShares, as of 29/09/2026.

By type of asset

  1. Equity99.9%
  2. Cash and money market0.1%
Added up from the holdings iShares publishes, as of 29/09/2026.

More:MVUS: key facts, returns and chargesCompare what it holds with another fundHoldings overlapHow overlap is measured

Holdings and weights are as published by iShares on 29/09/2026 and change as the fund trades.