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Prospectus |
S-1
| |
S-8
| |
S-17
| |
S-24
| |
S-31
| |
S-38
| |
S-45
| |
S-51
| |
S-57
| |
S-64
| |
S-71
| |
S-77
| |
1
| |
3
| |
22
| |
22
| |
25
| |
31
| |
31
| |
38 |
| |||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses2
|
Total
Annual
Fund
Operating
Expenses |
|
|
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Ten
Years |
(Inception
Date: |
|
|
|
Return
Before Taxes |
- |
- |
- |
Return
After Taxes on Distributions |
- |
- |
- |
Return
After Taxes on Distributions and Sale of Fund Shares |
- |
- |
- |
FTSE
Emerging All Cap Index1
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
FTSE
China 50 Index
(Returns do not reflect deductions for fees, expenses or
taxes) |
- |
- |
- |
| ||||||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses2
|
Acquired
Fund
Fees
and
Expenses2
|
Total
Annual
Fund
Operating
Expenses |
Fee
Waiver
and/or
Expense
Reimbursement2
|
Total
Annual
Fund
Operating
Expenses
After
Fee
Waiver
and/or
Expense
Reimbursement |
|
|
|
|
|
( |
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Since
Fund
Inception |
(Inception
Date: |
|
|
|
Return
Before Taxes |
|
|
|
Return
After Taxes on Distributions |
|
|
|
Return
After Taxes on Distributions and Sale of Fund Shares |
|
|
|
S&P
Global Broad Market Index1
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
STOXX
Global Equity Factor Index2
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
| |||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses |
Total
Annual
Fund
Operating
Expenses |
|
|
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Since
Fund
Inception |
(Inception
Date: |
|
|
|
Return
Before Taxes |
|
|
|
Return
After Taxes on Distributions |
|
|
|
Return
After Taxes on Distributions and Sale of Fund Shares |
|
|
|
S&P
Developed ex US Broad Market Index1
(Returns do not reflect deductions for fees,
expenses
or taxes) |
|
|
|
STOXX
International Equity Factor Index2
(Returns do not reflect deductions for fees,
expenses
or taxes) |
|
|
|
| |||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses2
|
Total
Annual
Fund
Operating
Expenses |
|
|
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Since
Fund
Inception |
(Inception
Date: |
|
|
|
Return
Before Taxes |
|
|
|
Return
After Taxes on Distributions |
|
|
|
Return
After Taxes on Distributions and Sale of Fund Shares |
|
|
|
S&P
Developed ex US Broad Market Index1
(Returns do not reflect deductions for fees,
expenses
or taxes) |
|
|
|
STOXX
International Small-Cap Equity Factor Index2
(Returns do not reflect deductions for
fees,
expenses or taxes) |
|
|
|
| |||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses |
Total
Annual
Fund
Operating
Expenses |
|
|
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Ten
Years |
(Inception
Date: |
|
|
|
Return
Before Taxes |
|
|
|
Return
After Taxes on Distributions |
|
|
|
Return
After Taxes on Distributions and Sale of Fund Shares |
|
|
|
MSCI
ACWI ex USA Index1
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
MSCI
EAFE Growth Index
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
| |||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses2
|
Total
Annual
Fund
Operating
Expenses |
|
|
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Ten
Years |
(Inception
Date: |
|
|
|
Return
Before Taxes |
|
|
|
Return
After Taxes on Distributions |
|
|
|
Return
After Taxes on Distributions and Sale of Fund Shares |
|
|
|
MSCI
All Country World Index1
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
MSCI
EAFE Minimum Volatility Index
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
| |||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses2
|
Total
Annual
Fund
Operating
Expenses |
|
|
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Ten
Years |
(Inception
Date: |
|
|
|
Return
Before Taxes |
|
|
|
Return
After Taxes on Distributions |
|
|
|
Return
After Taxes on Distributions and Sale of Fund Shares |
|
|
|
MSCI
ACWI ex USA Index1
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
MSCI
EAFE Small Cap Index
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
| |||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses2
|
Total
Annual
Fund
Operating
Expenses |
|
|
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Ten
Years |
(Inception
Date: |
|
|
|
Return
Before Taxes |
|
|
|
Return
After Taxes on Distributions |
|
|
|
Return
After Taxes on Distributions and Sale of Fund Shares |
|
|
|
MSCI
ACWI ex USA Index1
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
MSCI
EAFE Value Index
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
| |||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses |
Total
Annual
Fund
Operating
Expenses |
|
|
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Ten
Years |
(Inception
Date: |
|
|
|
Return
Before Taxes |
|
|
|
Return
After Taxes on Distributions |
|
|
|
Return
After Taxes on Distributions and Sale of Fund Shares |
|
|
|
MSCI
ACWI ex USA Index1
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
MSCI
Europe Small Cap Index2
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
| |||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses2
|
Total
Annual
Fund
Operating
Expenses |
|
|
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Since
Fund
Inception |
(Inception
Date: |
|
|
|
Return
Before Taxes |
|
|
|
Return
After Taxes on Distributions |
|
|
|
Return
After Taxes on Distributions and Sale of Fund Shares |
|
|
|
MSCI
ACWI ex USA Index1
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
MSCI
World ex USA Momentum Index
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
| |||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses2
|
Total
Annual
Fund
Operating
Expenses |
|
|
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Since
Fund
Inception |
(Inception
Date: |
|
|
|
Return
Before Taxes |
|
|
|
Return
After Taxes on Distributions |
|
|
|
Return
After Taxes on Distributions and Sale of Fund Shares |
|
|
|
MSCI
ACWI ex USA Index1
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
MSCI
World ex USA Sector Neutral Quality Index
(Returns do not reflect deductions for fees,
expenses
or taxes) |
|
|
|
| |||
Management
Fees |
Distribution
and
Service
(12b-1)
Fees |
Other
Expenses2
|
Total
Annual
Fund
Operating
Expenses |
|
|
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Return
(%) |
Period
Ended |
|
|
|
During
the periods shown in the chart:
| ||
|
|
|
|
- |
|
|
One
Year |
Five
Years |
Since
Fund
Inception |
(Inception
Date: |
|
|
|
Return
Before Taxes |
|
|
|
Return
After Taxes on Distributions |
|
|
|
Return
After Taxes on Distributions and Sale of Fund Shares |
|
|
|
MSCI
ACWI ex USA Index1
(Returns do not reflect deductions for fees, expenses or
taxes) |
|
|
|
MSCI
World ex USA Enhanced Value Index
(Returns do not reflect deductions for fees,
expenses
or taxes) |
|
|
|
Fund |
Underlying
Index |
Investment
Objective |
iShares
China Large-Cap ETF |
FTSE
China 50 Index |
The
iShares China Large-Cap ETF seeks to track the investment
results
of an index composed of large-capitalization Chinese
equities
that trade on the Hong Kong Stock Exchange. |
iShares
Global Equity Factor ETF |
STOXX
Global Equity Factor Index |
The
iShares Global Equity Factor ETF seeks to track the investment
results
of an index composed of large- and mid-capitalization
developed
and emerging market stocks that have favorable
exposure
to target style factors subject to constraints. |
iShares
International Equity
Factor
ETF |
STOXX
International Equity
Factor
Index |
The
iShares International Equity Factor ETF seeks to track the
investment
results of an index composed of global developed
market
large- and mid-capitalization stocks, excluding the U.S.,
that
have favorable exposure to target style factors subject to
constraints. |
iShares
International Small-Cap
Equity
Factor ETF |
STOXX
International Small-Cap
Equity
Factor Index |
The
iShares International Small-Cap Equity Factor ETF seeks to
track
the investment results of an index composed of global
developed
market small-capitalization stocks, excluding the U.S.,
that
have favorable exposure to target style factors subject to
constraints. |
iShares
MSCI EAFE Growth ETF |
MSCI
EAFE Growth Index |
The
iShares MSCI EAFE Growth ETF seeks to track the investment
results
of an index composed of developed market equities,
excluding
the U.S. and Canada, that exhibit growth
characteristics. |
iShares
MSCI EAFE Min Vol
Factor
ETF |
MSCI
EAFE Minimum Volatility
(USD)
Index |
The
iShares MSCI EAFE Min Vol Factor ETF seeks to track the
investment
results of an index composed of developed market
equities
that, in the aggregate, have lower volatility characteristics
relative
to the broader developed equity markets, excluding the
U.S.
and Canada. |
iShares
MSCI EAFE Small-Cap
ETF |
MSCI
EAFE Small Cap Index |
The
iShares MSCI EAFE Small-Cap ETF seeks to track the
investment
results of an index composed of small-capitalization
developed
market equities, excluding the U.S. and Canada. |
iShares
MSCI EAFE Value ETF |
MSCI
EAFE Value Index |
The
iShares MSCI EAFE Value ETF seeks to track the investment
results
of an index composed of developed market equities,
excluding
the U.S. and Canada, that exhibit value
characteristics. |
iShares
MSCI Europe Small-Cap
ETF |
MSCI
Europe Small Cap Index |
The
iShares MSCI Europe Small-Cap ETF seeks to track the
investment
results of an index composed of small-capitalization
developed
market equities in Europe. |
iShares
MSCI Intl Momentum
Factor
ETF |
MSCI
World ex USA Momentum
Index |
The
iShares MSCI Intl Momentum Factor ETF seeks to track the
investment
results of an index that measures the performance of
international
developed large- and mid-capitalization stocks
exhibiting
relatively higher momentum characteristics. |
iShares
MSCI Intl Quality Factor
ETF |
MSCI
World ex USA Sector
Neutral
Quality Index |
The
iShares MSCI Intl Quality Factor ETF seeks to track the
investment
results of an index that measures the performance of
international
developed large- and mid-capitalization stocks
exhibiting
relatively higher quality characteristics as identified
through
three fundamental variables: return on equity, earnings
variability
and debt-to-equity. |
iShares
MSCI Intl Value Factor
ETF |
MSCI
World ex USA Enhanced
Value
Index |
The
iShares MSCI Intl Value Factor ETF seeks to track the
investment
results of an index composed of international
developed
large- and mid-capitalization stocks with value
characteristics
and relatively lower
valuations. |
✓
Principal Risk | •
Other Risk | ||||||
Asian
Economic Risk |
✓ |
• |
✓ |
✓ |
✓ |
✓ |
Asset
Class Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Australasian
Economic Risk |
|
|
• |
• |
• |
• |
Authorized
Participant
Concentration
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Borrowing
Risk |
|
• |
|
|
|
|
Close-Out
Risk for Qualified
Financial
Contracts |
• |
• |
• |
• |
• |
• |
Communication
Services Sector
Risk |
|
|
|
|
|
• |
Concentration
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Consumer
Goods and Services
Companies
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
• |
Currency
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Custody
Risk |
✓ |
• |
|
|
|
|
Cybersecurity
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Energy
Companies Risk |
• |
|
|
|
|
|
Equity
Securities Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
ESG
Risk |
|
✓ |
✓ |
✓ |
|
|
European
Economic Risk |
|
• |
✓ |
✓ |
✓ |
✓ |
Financial
Companies Risk |
✓ |
• |
✓ |
• |
• |
✓ |
Geographic
and Security Risks |
• |
• |
• |
• |
• |
• |
Growth
Securities Risk |
|
|
|
|
✓ |
|
Healthcare
Companies Risk |
|
• |
• |
|
✓ |
✓ |
Illiquid
Investments Risk |
• |
• |
• |
• |
• |
• |
Index-Related
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Industrial
Companies Risk |
|
• |
✓ |
✓ |
✓ |
✓ |
Issuer
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Large-Capitalization
Companies
Risk |
✓ |
✓ |
✓ |
|
✓ |
✓ |
Large
Shareholder and Large-
Scale
Redemption Risk |
• |
✓ |
• |
• |
• |
• |
Low
Volatility Risk |
|
|
|
|
|
✓ |
Management
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Market
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Market
Trading Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Materials
Companies Risk |
|
|
• |
• |
• |
|
✓
Principal Risk | •
Other Risk | ||||||
Mid-Capitalization
Companies
Risk |
|
✓ |
✓ |
|
• |
✓ |
Momentum
Securities RIsk |
|
|
|
|
|
|
National
Closed Market Trading
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Non-Diversification
Risk |
✓ |
|
|
|
|
|
Non-U.S.
Securities Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Operational
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Quality
Securities Risk |
|
|
|
|
|
|
Real
Estate Companies Risk |
|
|
|
• |
|
|
Reliance
on Trading Partners Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Risk
of Investing in China |
✓ |
✓ |
|
|
|
|
Risk
of Investing in Developed
Countries |
|
✓ |
✓ |
✓ |
✓ |
✓ |
Risk
of Investing in Emerging
Markets |
✓ |
• |
|
|
|
|
Risk
of Investing in Europe |
|
|
|
|
|
|
Risk
of Investing in Japan |
|
|
✓ |
✓ |
✓ |
✓ |
Risk
of Investing in Russia |
|
✓ |
|
|
|
|
Risk
of Investing in Saudi Arabia |
|
✓ |
|
|
|
|
Risk
of Investing in the U.K. |
|
|
|
|
|
|
Risk
of Investing in the U.S.
|
|
✓ |
|
|
|
|
Securities
Lending Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Small-Capitalization
Companies
Risk |
|
|
• |
✓ |
|
|
Style
Factors Risk |
|
✓ |
✓ |
✓ |
|
|
Sustainability
Risk |
• |
|
|
|
|
|
Technology
Companies Risk |
✓ |
✓ |
• |
• |
✓ |
|
Threshold/Underinvestment
Risk |
• |
• |
• |
• |
• |
• |
Tracking
Error Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
U.S.
Economic Risk |
✓ |
|
✓ |
|
✓ |
✓ |
Utility
Companies Risk |
|
|
|
|
|
• |
Valuation
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Value
Securities Risk |
|
|
|
|
|
|
✓
Principal Risk | •
Other Risk | ||||||
Asian
Economic Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Asset
Class Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Australasian
Economic Risk |
• |
• |
|
|
• |
|
Authorized
Participant
Concentration
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
✓
Principal Risk | •
Other Risk | ||||||
Borrowing
Risk |
|
|
|
|
|
|
Close-Out
Risk for Qualified
Financial
Contracts |
• |
• |
• |
• |
• |
• |
Communication
Services Sector
Risk |
|
• |
|
|
|
|
Concentration
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Consumer
Goods and Services
Companies
Risk |
• |
• |
• |
• |
• |
• |
Currency
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Custody
Risk |
|
|
|
|
|
|
Cybersecurity
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Energy
Companies Risk |
|
• |
|
|
• |
• |
Equity
Securities Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
ESG
Risk |
|
|
|
|
|
|
European
Economic Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Financial
Companies Risk |
• |
✓ |
✓ |
✓ |
✓ |
✓ |
Geographic
and Security Risks |
• |
• |
• |
• |
• |
• |
Growth
Securities Risk |
|
|
|
|
|
|
Healthcare
Companies Risk |
• |
• |
• |
• |
• |
• |
Illiquid
Investments Risk |
• |
• |
• |
• |
• |
• |
Index-Related
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Industrial
Companies Risk |
✓ |
• |
✓ |
✓ |
✓ |
✓ |
Issuer
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Large-Capitalization
Companies
Risk |
|
✓ |
|
✓ |
✓ |
✓ |
Large
Shareholder and Large-
Scale
Redemption Risk |
• |
• |
• |
• |
• |
• |
Low
Volatility Risk |
|
|
|
|
|
|
Management
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Market
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Market
Trading Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Materials
Companies Risk |
• |
• |
• |
|
• |
• |
Mid-Capitalization
Companies
Risk |
|
✓ |
|
• |
• |
✓ |
Momentum
Securities Risk |
|
|
|
✓ |
|
|
National
Closed Market Trading
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Non-Diversification
Risk |
|
|
|
|
|
|
Non-U.S.
Securities Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Operational
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Quality
Securities Risk |
|
|
|
|
✓ |
|
Real
Estate Companies Risk |
• |
|
• |
|
|
|
Reliance
on Trading Partners Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Risk
of Investing in China |
|
|
|
|
|
|
Risk
of Investing in Developed
Countries |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
✓
Principal Risk | •
Other Risk | ||||||
Risk
of Investing in Emerging
Markets |
|
|
|
|
|
|
Risk
of Investing in Europe |
|
|
✓ |
|
|
|
Risk
of Investing in Japan |
✓ |
✓ |
|
✓ |
|
✓ |
Risk
of Investing in Russia |
|
|
|
|
|
|
Risk
of Investing in Saudi Arabia |
|
|
|
|
|
|
Risk
of Investing in the U.K. |
|
|
✓ |
|
|
|
Risk
of Investing in the U.S. |
|
|
|
|
|
|
Securities
Lending Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Small-Capitalization
Companies
Risk |
✓ |
|
✓ |
|
|
|
Style
Factors Risk |
|
|
|
|
|
|
Sustainability
Risk |
• |
|
|
|
|
|
Technology
Companies Risk |
• |
|
• |
• |
• |
• |
Threshold/Underinvestment
Risk |
• |
• |
• |
• |
• |
• |
Tracking
Error Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
U.S.
Economic Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Utility
Companies Risk |
|
• |
|
|
|
|
Valuation
Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Value
Securities Risk |
|
✓ |
|
|
|
✓ |
Fund |
Management
Fee |
iShares
China Large-Cap ETF |
0.74%1
|
iShares
Global Equity Factor ETF |
0.20%2
|
iShares
International Equity Factor ETF |
0.15% |
iShares
International Small-Cap Equity Factor ETF |
0.23% |
iShares
MSCI EAFE Growth ETF |
0.35%1
|
iShares
MSCI EAFE Min Vol Factor ETF |
0.20%1
|
iShares
MSCI EAFE Small-Cap ETF |
0.40%1
|
iShares
MSCI EAFE Value ETF |
0.33%1
|
iShares
MSCI Europe Small-Cap ETF |
0.40% |
iShares
MSCI Intl Momentum Factor ETF |
0.30% |
iShares
MSCI Intl Quality Factor ETF |
0.30% |
iShares
MSCI Intl Value Factor ETF |
0.30% |
Fund
|
The
Bank of
New
York
Mellon |
Citibank,
N.A. |
JPMorgan
Chase
Bank,
N.A. |
State
Street
Bank
and Trust
Company |
iShares
China Large-Cap ETF* |
|
|
|
✓ |
iShares
Global Equity Factor ETF* |
|
|
|
✓ |
iShares
International Equity Factor ETF* |
|
|
|
✓ |
iShares
International Small-Cap Equity Factor ETF* |
|
|
|
✓ |
iShares
MSCI EAFE Growth ETF* |
|
|
|
✓ |
Fund
|
The
Bank of
New
York
Mellon |
Citibank,
N.A. |
JPMorgan
Chase
Bank,
N.A. |
State
Street
Bank
and Trust
Company |
iShares
MSCI EAFE Min Vol Factor ETF* |
|
|
|
✓ |
iShares
MSCI EAFE Small-Cap ETF* |
|
|
|
✓ |
iShares
MSCI EAFE Value ETF* |
|
|
|
✓ |
iShares
MSCI Europe Small-Cap ETF* |
|
|
|
✓ |
iShares
MSCI Intl Momentum Factor ETF* |
|
|
|
✓ |
iShares
MSCI Intl Quality Factor ETF* |
|
|
|
✓ |
iShares
MSCI Intl Value Factor ETF* |
|
|
|
✓ |
Fund |
In-Kind |
Partial |
All
Cash |
iShares
China Large-Cap ETF |
✓ |
|
|
iShares
Global Equity Factor ETF |
|
✓ |
|
iShares
International Equity Factor ETF |
✓ |
|
|
iShares
International Small-Cap Equity Factor ETF |
✓ |
|
|
iShares
MSCI EAFE Growth ETF |
✓ |
|
|
iShares
MSCI EAFE Min Vol Factor ETF |
✓ |
|
|
iShares
MSCI EAFE Small-Cap ETF |
✓ |
|
|
iShares
MSCI EAFE Value ETF |
✓ |
|
|
iShares
MSCI Europe Small-Cap ETF |
✓ |
|
|
iShares
MSCI Intl Momentum Factor ETF |
✓ |
|
|
iShares
MSCI Intl Quality Factor ETF |
✓ |
|
|
iShares
MSCI Intl Value Factor ETF |
✓ |
|
|
|
iShares
China Large-Cap ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$30.39 |
$30.37 |
$40.36 |
$41.57 |
$41.63 |
Net
investment income(a)
|
0.67 |
0.62 |
0.75 |
0.88 |
0.89 |
Net
realized and unrealized gain (loss)(b)
|
(4.62
) |
0.15 |
(10.16
) |
(1.26
) |
0.17 |
Net
increase (decrease) from investment operations |
(3.95
) |
0.77 |
(9.41
) |
(0.38
) |
1.06 |
Distributions
from net investment income(c)
|
(0.69
) |
(0.75
) |
(0.58
) |
(0.83
) |
(1.12
) |
Net
asset value, end of year |
$25.75 |
$30.39 |
$30.37 |
$40.36 |
$41.57 |
Total
Return(d)
|
|
|
|
|
|
Based
on net asset value |
(12.73
)% |
2.71
% |
(23.54
)% |
(1.13
)% |
2.59
% |
Ratios
to Average Net Assets(e)
|
|
|
|
|
|
Total
expenses |
0.74
% |
0.74
% |
0.74
% |
0.74
% |
0.74
% |
Net
investment income |
2.63
% |
2.19
% |
2.12
% |
1.90
% |
2.18
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$4,249,392 |
$5,692,791 |
$5,293,695 |
$4,812,487 |
$3,429,710 |
Portfolio
turnover rate(f)
|
18
% |
23
% |
29
% |
62
% |
18
% |
(a)
Based
on average shares outstanding. | |||||
(b)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(c)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(d)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(e)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(f)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
|
iShares
Global Equity Factor ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$36.72 |
$33.22 |
$38.13 |
$29.39 |
$29.23 |
Net
investment income(a)
|
0.81 |
0.83 |
0.81 |
0.66 |
0.57 |
Net
realized and unrealized gain (loss)(b)
|
6.41 |
3.52 |
(4.99
) |
8.73 |
0.28 |
Net
increase (decrease) from investment operations |
7.22 |
4.35 |
(4.18
) |
9.39 |
0.85 |
Distributions
from net investment income(c)
|
(1.01
) |
(0.85
) |
(0.73
) |
(0.65
) |
(0.69
) |
Net
asset value, end of year |
$42.93 |
$36.72 |
$33.22 |
$38.13 |
$29.39 |
Total
Return(d)
|
|
|
|
|
|
Based
on net asset value |
19.96
% |
13.34
% |
(11.08
)% |
32.16
% |
2.90
% |
Ratios
to Average Net Assets(e)
|
|
|
|
|
|
Total
expenses |
0.20
% |
0.26
% |
0.35
% |
0.35
% |
0.35
% |
Net
investment income |
2.11
% |
2.50
% |
2.24
% |
1.92
% |
2.00
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$109,480 |
$124,848 |
$119,592 |
$133,463 |
$114,623 |
Portfolio
turnover rate(f)
|
24
% |
112
% |
51
% |
48
% |
43
% |
(a)
Based
on average shares outstanding. | |||||
(b)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(c)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(d)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(e)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(f)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
|
iShares
International Equity Factor ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$27.64 |
$24.62 |
$30.13 |
$23.89 |
$25.68 |
Net
investment income(a)
|
0.94
(b) |
0.90
(b) |
0.98 |
0.79 |
0.60 |
Net
realized and unrealized gain (loss)(c)
|
2.60 |
2.83 |
(5.09
) |
6.35 |
(1.61
) |
Net
increase (decrease) from investment operations |
3.54 |
3.73 |
(4.11
) |
7.14 |
(1.01
) |
Distributions
from net investment income(d)
|
(1.04
) |
(0.71
) |
(1.40
) |
(0.90
) |
(0.78
) |
Net
asset value, end of year |
$30.14 |
$27.64 |
$24.62 |
$30.13 |
$23.89 |
Total
Return(e)
|
|
|
|
|
|
Based
on net asset value |
13.08
%(b) |
15.37
%(b) |
(13.97
)% |
29.97
% |
(4.03
)% |
Ratios
to Average Net Assets(f)
|
|
|
|
|
|
Total
expenses |
0.16
% |
0.15
% |
0.25
% |
0.30
% |
0.30
% |
Total
expenses excluding professional fees for foreign withholding tax
claims |
0.15
% |
0.15
% |
0.25
% |
N/A |
N/A |
Net
investment income |
3.35
%(b) |
3.57
%(b) |
3.54
% |
2.89
% |
2.44
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$1,124,338 |
$964,761 |
$824,747 |
$897,810 |
$910,213 |
Portfolio
turnover rate(g)
|
22
% |
23
% |
113
% |
45
% |
40
% |
(a)
Based
on average shares outstanding. | |||||
(b)
Reflects
the positive effect of foreign withholding tax claims, net of the
associated professional fees, which resulted in the following increases
for the year ended July 31, 2024 and July 31, 2023
respectively:
• Net
investment income per share by $0.02 and $0.01.
• Total
return by 0.08% and 0.03%.
• Ratio
of net investment income to average net assets by 0.08% and
0.03%. | |||||
(c)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(d)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(e)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(f)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(g)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
|
iShares
International Small-Cap Equity Factor ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$32.07 |
$30.90 |
$37.47 |
$28.44 |
$28.88 |
Net
investment income(a)
|
1.02 |
1.15 |
1.08 |
0.78 |
0.68 |
Net
realized and unrealized gain (loss)(b)
|
1.96 |
0.87 |
(6.15
) |
9.15 |
(0.32
) |
Net
increase (decrease) from investment operations |
2.98 |
2.02 |
(5.07
) |
9.93 |
0.36 |
Distributions
from net investment income(c)
|
(1.30
) |
(0.85
) |
(1.50
) |
(0.90
) |
(0.80
) |
Net
asset value, end of year |
$33.75 |
$32.07 |
$30.90 |
$37.47 |
$28.44 |
Total
Return(d)
|
|
|
|
|
|
Based
on net asset value |
9.57
%(e) |
6.73
% |
(13.81
)% |
35.22
% |
1.16
% |
Ratios
to Average Net Assets(f)
|
|
|
|
|
|
Total
expenses |
0.23
% |
0.28
% |
0.40
% |
0.40
% |
0.40
% |
Net
investment income |
3.23
% |
3.79
% |
3.16
% |
2.31
% |
2.44
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$556,867 |
$618,985 |
$225,589 |
$194,819 |
$122,273 |
Portfolio
turnover rate(g)
|
26
% |
120
% |
52
% |
47
% |
47
% |
(a)
Based
on average shares outstanding. | |||||
(b)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(c)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(d)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(e)
Includes
payment received from an affiliate, which had no impact on the Fund’s
total return. | |||||
(f)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(g)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
|
iShares
MSCI EAFE Growth ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$96.55 |
$86.78 |
$108.95 |
$86.52 |
$80.40 |
Net
investment income(a)
|
1.39
(b) |
1.39
(b) |
1.19
(b) |
1.15 |
1.06 |
Net
realized and unrealized gain (loss)(c)
|
6.90 |
9.48 |
(21.67
) |
22.53 |
6.06 |
Net
increase (decrease) from investment operations |
8.29 |
10.87 |
(20.48
) |
23.68 |
7.12 |
Distributions
from net investment income(d)
|
(1.55
) |
(1.10
) |
(1.69
) |
(1.25
) |
(1.00
) |
Net
asset value, end of year |
$103.29 |
$96.55 |
$86.78 |
$108.95 |
$86.52 |
Total
Return(e)
|
|
|
|
|
|
Based
on net asset value |
8.66
%(b) |
12.58
%(b) |
(18.92
)%(b) |
27.42
% |
8.91
% |
Ratios
to Average Net Assets(f)
|
|
|
|
|
|
Total
expenses |
0.36
% |
0.36
% |
0.36
% |
0.36
% |
0.39
% |
Total
expenses excluding professional fees for foreign withholding tax
claims |
0.35
% |
0.35
% |
0.36
% |
0.36
% |
N/A |
Net
investment income |
1.44
%(b) |
1.57
%(b) |
1.19
%(b) |
1.15
% |
1.31
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$15,204,838 |
$12,937,561 |
$10,135,618 |
$12,115,330 |
$7,994,330 |
Portfolio
turnover rate(g)
|
22
% |
19
% |
25
% |
24
% |
33
% |
(a)
Based
on average shares outstanding. | |||||
(b)
Reflects
the positive effect of foreign withholding tax claims, net of the
associated professional fees, which resulted in the following increases
for the years ended July 31, 2024, July 31, 2023
and
July 31, 2022 respectively:
• Net
investment income per share by $0.05, $0.03 and $0.01.
• Total
return by 0.05%, 0.03% and 0.01%.
• Ratio
of net investment income to average net assets by 0.05%, 0.03% and
0.01%. | |||||
(c)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(d)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(e)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(f)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(g)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
|
iShares
MSCI EAFE Min Vol Factor ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$68.83 |
$65.71 |
$77.27 |
$66.79 |
$71.90 |
Net
investment income(a)
|
2.08
(b) |
2.00
(b) |
1.72
(b) |
1.79 |
1.86 |
Net
realized and unrealized gain (loss)(c)
|
4.70 |
2.93 |
(11.54
) |
9.96 |
(4.26
) |
Net
increase (decrease) from investment operations |
6.78 |
4.93 |
(9.82
) |
11.75 |
(2.40
) |
Distributions
from net investment income(d)
|
(2.25
) |
(1.81
) |
(1.74
) |
(1.27
) |
(2.71
) |
Net
asset value, end of year |
$73.36 |
$68.83 |
$65.71 |
$77.27 |
$66.79 |
Total
Return(e)
|
|
|
|
|
|
Based
on net asset value |
10.09
%(b) |
7.62
%(b) |
(12.76
)%(b) |
17.61
% |
(3.51
)% |
Ratios
to Average Net Assets(f)
|
|
|
|
|
|
Total
expenses |
0.20
% |
0.33
% |
0.32
% |
0.32
% |
0.32
% |
Total
expenses after fees waived |
0.20
% |
0.20
% |
0.20
% |
0.20
% |
0.20
% |
Total
expenses excluding professional fees for foreign withholding tax
claims |
0.20
% |
0.31
% |
0.32
% |
0.32
% |
N/A |
Net
investment income |
3.03
%(b) |
3.08
%(b) |
2.36
%(b) |
2.48
% |
2.65
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$6,631,810 |
$7,722,896 |
$5,933,975 |
$8,631,346 |
$10,559,196 |
Portfolio
turnover rate(g)
|
23
% |
25
% |
23
% |
25
% |
23
% |
(a)
Based
on average shares outstanding. | |||||
(b)
Reflects
the positive effect of foreign withholding tax claims, net of the
associated professional fees, which resulted in the following increases
for the years ended July 31, 2024, July 31, 2023
and
July 31, 2022 respectively:
•
Net investment income per share by $0.01, $0.09 and $0.01.
•
Total return by 0.03%, 0.13% and 0.02%.
•
Ratio of net investment income to average net assets by 0.02%, 0.13% and
0.01%. | |||||
(c)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(d)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(e)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(f)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(g)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
|
iShares
MSCI EAFE Small-Cap ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$61.27 |
$58.15 |
$75.41 |
$55.23 |
$57.03 |
Net
investment income(a)
|
1.57
(b) |
1.65
(b) |
1.70
(b) |
1.39 |
1.12 |
Net
realized and unrealized gain (loss)(c)
|
3.81 |
2.47 |
(16.38
) |
20.00 |
(1.12
) |
Net
increase (decrease) from investment operations |
5.38 |
4.12 |
(14.68
) |
21.39 |
— |
Distributions
from net investment income(d)
|
(1.73
) |
(1.00
) |
(2.58
) |
(1.21
) |
(1.80
) |
Net
asset value, end of year |
$64.92 |
$61.27 |
$58.15 |
$75.41 |
$55.23 |
Total
Return(e)
|
|
|
|
|
|
Based
on net asset value |
8.98
%(b) |
7.12
%(b) |
(19.80
)%(b) |
38.84
% |
(0.16
)% |
Ratios
to Average Net Assets(f)
|
|
|
|
|
|
Total
expenses |
0.40
% |
0.40
% |
0.39
% |
0.39
% |
0.40
% |
Total
expenses excluding professional fees for foreign withholding tax
claims |
0.40
% |
0.39
% |
0.39
% |
0.39
% |
N/A |
Net
investment income |
2.62
%(b) |
2.88
%(b) |
2.50
%(b) |
2.03
% |
2.01
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$9,751,342 |
$11,040,507 |
$10,966,490 |
$13,135,610 |
$8,527,860 |
Portfolio
turnover rate(g)
|
14
% |
11
% |
15
% |
17
% |
20
% |
(a)
Based
on average shares outstanding. | |||||
(b)
Reflects
the positive effect of foreign withholding tax claims, net of the
associated professional fees, which resulted in the following increases
for the year ended July 31, 2024, July 31, 2023 and
July
31, 2022 respectively:
•
Net investment income per share by $0.01, $0.01 and $0.03.
•
Total return by 0.02%, 0.03% and 0.04%.
•
Ratio of net investment income to average net assets by 0.01%, 0.02% and
0.04%. | |||||
(c)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(d)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(e)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(f)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(g)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
|
iShares
MSCI EAFE Value ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$50.92 |
$44.33 |
$51.48 |
$39.94 |
$47.08 |
Net
investment income(a)
|
2.07 |
1.99
(b) |
2.06
(b) |
1.67 |
1.48 |
Net
realized and unrealized gain (loss)(c)
|
4.82 |
6.45 |
(6.66
) |
11.39 |
(7.18
) |
Net
increase (decrease) from investment operations |
6.89 |
8.44 |
(4.60
) |
13.06 |
(5.70
) |
Distributions
from net investment income(d)
|
(2.49
) |
(1.85
) |
(2.55
) |
(1.52
) |
(1.44
) |
Net
asset value, end of year |
$55.32 |
$50.92 |
$44.33 |
$51.48 |
$39.94 |
Total
Return(e)
|
|
|
|
|
|
Based
on net asset value |
13.89
% |
19.39
%(b) |
(9.23
)%(b) |
32.79
% |
(12.48
)% |
Ratios
to Average Net Assets(f)
|
|
|
|
|
|
Total
expenses |
0.33
% |
0.34
% |
0.35
% |
0.36
% |
0.39
% |
Total
expenses excluding professional fees for foreign withholding tax
claims |
0.33
% |
0.34
% |
0.33
% |
0.36
% |
N/A |
Net
investment income |
4.00
% |
4.29
%(b) |
4.17
%(b) |
3.42
% |
3.36
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$14,980,931 |
$17,107,832 |
$14,273,313 |
$14,434,306 |
$5,799,502 |
Portfolio
turnover rate(g)
|
28
% |
22
% |
26
% |
25
% |
27
% |
(a)
Based
on average shares outstanding. | |||||
(b)
Reflects
the positive effect of foreign withholding tax claims, net of the
associated professional fees, which resulted in the following increases
for the years ended July 31, 2023 and July 31, 2022
respectively:
• Net
investment income per share by $0.02 and $0.06.
• Total
return by 0.04% and 0.12%.
• Ratio
of net investment income to average net assets by 0.04% and
0.13%. | |||||
(c)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(d)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(e)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(f)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(g)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
|
iShares
MSCI Europe Small-Cap ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$54.74 |
$51.99 |
$71.59 |
$49.62 |
$49.09 |
Net
investment income(a)
|
1.50
(b) |
1.59
(b) |
1.15
(b) |
1.25 |
0.81 |
Net
realized and unrealized gain (loss)(c)
|
4.52 |
2.53 |
(18.54
) |
21.87 |
0.68 |
Net
increase (decrease) from investment operations |
6.02 |
4.12 |
(17.39
) |
23.12 |
1.49 |
Distributions
from net investment income(d)
|
(1.80
) |
(1.37
) |
(2.21
) |
(1.15
) |
(0.96
) |
Net
asset value, end of year |
$58.96 |
$54.74 |
$51.99 |
$71.59 |
$49.62 |
Total
Return(e)
|
|
|
|
|
|
Based
on net asset value |
11.18
%(b) |
8.07
%(b) |
(24.65
)%(b) |
46.76
% |
2.98
% |
Ratios
to Average Net Assets(f)
|
|
|
|
|
|
Total
expenses |
0.41
% |
0.42
% |
0.40
% |
0.40
% |
0.40
% |
Total
expenses excluding professional fees for foreign withholding tax
claims |
0.40
% |
0.40
% |
0.40
% |
N/A |
N/A |
Net
investment income |
2.78
%(b) |
3.11
%(b) |
1.74
%(b) |
1.98
% |
1.67
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$100,225 |
$128,632 |
$109,177 |
$443,861 |
$124,046 |
Portfolio
turnover rate(g)
|
16
% |
13
% |
16
% |
14
% |
20
% |
(a)
Based
on average shares outstanding. | |||||
(b)
Reflects
the positive effect of foreign withholding tax claims, net of the
associated professional fees, which resulted in the following increases
for the year ended July 31, 2024 , July 31, 2023
and
July 31, 2022 respectively:
• Net
investment income per share by $0.03 , $0.07 and $0.01.
• Total
return by 0.06% , 0.13% and 0.02%.
• Ratio
of net investment income to average net assets by 0.05%, 0.13% and
0.01%. | |||||
(c)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(d)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(e)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(f)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(g)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
|
iShares
MSCI Intl Momentum Factor ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$33.73 |
$30.84 |
$39.06 |
$32.99 |
$29.44 |
Net
investment income(a)
|
0.79
(b) |
0.91
(b) |
0.94 |
0.43 |
0.46 |
Net
realized and unrealized gain (loss)(c)
|
5.87 |
2.76 |
(6.94
) |
6.09 |
3.52 |
Net
increase (decrease) from investment operations |
6.66 |
3.67 |
(6.00
) |
6.52 |
3.98 |
Distributions(d)
|
|
|
|
|
|
From
net investment income |
(0.87
) |
(0.78
) |
(1.11
) |
(0.45
) |
(0.43
) |
From
net realized gain |
— |
— |
(1.11
) |
— |
— |
Total
distributions |
(0.87
) |
(0.78
) |
(2.22
) |
(0.45
) |
(0.43
) |
Net
asset value, end of year |
$39.52 |
$33.73 |
$30.84 |
$39.06 |
$32.99 |
Total
Return(e)
|
|
|
|
|
|
Based
on net asset value |
19.98
%(b) |
12.09
%(b) |
(16.09
)% |
19.80
% |
13.65
% |
Ratios
to Average Net Assets(f)
|
|
|
|
|
|
Total
expenses |
0.30
% |
0.30
% |
0.30
% |
0.30
% |
0.30
% |
Net
investment income |
2.20
%(b) |
2.89
%(b) |
2.65
% |
1.16
% |
1.53
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$2,240,649 |
$1,517,834 |
$823,407 |
$831,917 |
$405,753 |
Portfolio
turnover rate(g)
|
70
% |
101
% |
100
% |
104
% |
125
% |
(a)
Based
on average shares outstanding. | |||||
(b)
Reflects
the positive effect of foreign withholding tax claims, net of the
associated professional fees, which resulted in the following increases
for the years ended July 31, 2024 and July 31, 2023
respectively:
• Net
investment income per share by $0.01 and $0.00.
• Total
return by 0.03% and 0.00%.
• Ratio
of net investment income to average net assets by 0.03% and
0.01%. | |||||
(c)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(d)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(e)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(f)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(g)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
|
iShares
MSCI Intl Quality Factor ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$36.41 |
$32.80 |
$39.29 |
$30.32 |
$29.79 |
Net
investment income(a)
|
0.95
(b) |
0.95 |
1.00 |
0.78 |
0.70 |
Net
realized and unrealized gain (loss)(c)
|
3.19 |
3.45 |
(6.37
) |
8.90 |
0.44 |
Net
increase (decrease) from investment operations |
4.14 |
4.40 |
(5.37
) |
9.68 |
1.14 |
Distributions
from net investment income(d)
|
(1.00
) |
(0.79
) |
(1.12
) |
(0.71
) |
(0.61
) |
Net
asset value, end of year |
$39.55 |
$36.41 |
$32.80 |
$39.29 |
$30.32 |
Total
Return(e)
|
|
|
|
|
|
Based
on net asset value |
11.48
%(b) |
13.54
% |
(13.78
)% |
32.03
% |
3.86
% |
Ratios
to Average Net Assets(f)
|
|
|
|
|
|
Total
expenses |
0.30
% |
0.30
% |
0.30
% |
0.30
% |
0.30
% |
Net
investment income |
2.55
%(b) |
2.84
% |
2.75
% |
2.18
% |
2.38
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$8,083,999 |
$6,873,637 |
$4,021,877 |
$3,744,470 |
$1,655,632 |
Portfolio
turnover rate(g)
|
27
% |
28
% |
32
% |
37
% |
26
% |
(a)
Based
on average shares outstanding. | |||||
(b)
Reflects
the positive effect of foreign withholding tax claims, net of the
associated professional fees, which resulted in the following increases
for the year ended July 31, 2024 :
• Net
investment income per share by $0.01.
• Total
return by 0.03%.
• Ratio
of net investment income to average net assets by
0.03%. | |||||
(c)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(d)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(e)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(f)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(g)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
|
iShares
MSCI Intl Value Factor ETF
| ||||
|
Year
Ended
07/31/24 |
Year
Ended
07/31/23 |
Year
Ended
07/31/22 |
Year
Ended
07/31/21 |
Year
Ended
07/31/20 |
Net
asset value, beginning of year |
$26.41 |
$22.63 |
$25.69 |
$19.05 |
$22.61 |
Net
investment income(a)
|
0.99
(b) |
1.00
(b) |
0.99 |
0.76 |
0.58 |
Net
realized and unrealized gain (loss)(c)
|
2.43 |
3.71 |
(2.99
) |
6.44 |
(3.57
) |
Net
increase (decrease) from investment operations |
3.42 |
4.71 |
(2.00
) |
7.20 |
(2.99
) |
Distributions
from net investment income(d)
|
(1.26
) |
(0.93
) |
(1.06
) |
(0.56
) |
(0.57
) |
Net
asset value, end of year |
$28.57 |
$26.41 |
$22.63 |
$25.69 |
$19.05 |
Total
Return(e)
|
|
|
|
|
|
Based
on net asset value |
13.34
%(b) |
21.19
%(b) |
(8.02
)% |
37.95
% |
(13.57
)% |
Ratios
to Average Net Assets(f)
|
|
|
|
|
|
Total
expenses |
0.30
% |
0.30
% |
0.30
% |
0.30
% |
0.30
% |
Net
investment income |
3.72
%(b) |
4.24
%(b) |
3.96
% |
3.18
% |
2.76
% |
Supplemental
Data |
|
|
|
|
|
Net
assets, end of year (000) |
$1,791,354 |
$1,751,073 |
$1,407,888 |
$1,125,168 |
$451,494 |
Portfolio
turnover rate(g)
|
16
% |
14
% |
17
% |
24
% |
18
% |
(a)
Based
on average shares outstanding. | |||||
(b)
Reflects
the positive effect of foreign withholding tax claims, net of the
associated professional fees, which resulted in the following increases
for the year ended July 31, 2024 and July 31, 2023
respectively:
• Net
investment income per share by $0.00 and $0.01.
• Total
return by 0.02% and 0.03%.
• Ratio
of net investment income to average net assets by 0.02% and
0.03%. | |||||
(c)
The
amounts reported for a share outstanding may not accord with the change in
aggregate gains and losses in securities for the fiscal period due to the
timing of capital share transactions in
relation
to the fluctuating market values of the Fund’s underlying
securities. | |||||
(d)
Distributions
for annual periods determined in accordance with U.S. federal income tax
regulations. | |||||
(e)
Where
applicable, assumes the reinvestment of
distributions. | |||||
(f)
Excludes
fees and expenses incurred indirectly as a result of investments in
underlying funds. | |||||
(g)
Portfolio
turnover rate excludes in-kind transactions, if
any. |
Call: |
1-800-iShares
or 1-800-474-2737 (toll free)
Monday
through Friday, 8:30 a.m. to 6:30 p.m. (Eastern
time) |
Email: |
|
Write: |
c/o
BlackRock Investments, LLC
1
University Square Drive, Princeton, NJ
08540 |