ETF Components for MIDD - iShares FTSE 250 UCITS ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
HSX A -1.07 1.23
VTY B -1.55 1.22
LMP B -2.07 1.15
PCT D 1.05 1.11
BLND B -1.22 1.10
ATST A -0.16 1.08
SXS D 0.25 1.01
GAW F -1.95 0.99
UKW C -0.21 0.99
JMAT B -1.06 0.99
EMG C -1.13 0.99
INVP C -0.20 0.96
BWY D -1.58 0.94
GRG C -0.79 0.88
BBOX F -2.39 0.88
HL D -0.27 0.87
INCH B -0.96 0.86
ROR F -2.22 0.85
ITV B -0.64 0.82
BAB A 1.56 0.80
DLG D -1.56 0.80
IGG B -1.02 0.80
TUI C -2.36 0.80
TATE C -1.86 0.80
ABDN F 0.07 0.79
HICL F -1.60 0.79
TRIG D 0.40 0.76
MNKS A 0.89 0.75
CYBG A 0.67 0.75
INPP D -2.40 0.73
DLN F -2.40 0.71
CWK A -0.59 0.69
RCP B 1.28 0.69
SSON C -0.71 0.66
BVIC C -0.41 0.65
3IN C -0.61 0.63
HGT B 0.74 0.63
CTY C 0.12 0.63
BYG B -1.65 0.62
SRP D -1.32 0.61
GFTU D -0.52 0.60
BBY B 0.27 0.60
INDV F -0.39 0.59
GRI D -1.94 0.58
DARK A 5.84 0.58
IDS A -0.57 0.58
PNN D -0.30 0.58
DRX B 1.08 0.58
HBR B 0.39 0.57
HVPE D -0.87 0.56
BGEO A 0.78 0.55
NETW A -0.05 0.55
JAM A -0.10 0.55
CCC F -0.70 0.55
PNL A 0.21 0.54
FOUR B -2.02 0.54
QQ C 0.94 0.54
MRC A -0.89 0.54
RDW D -1.01 0.53
TEM A 0.78 0.53
PLUS A 0.19 0.51
WIZZ D -1.12 0.51
FGT F -0.61 0.50
SSPG D -0.29 0.50
TCAP C -2.41 0.50
SAFE D -2.20 0.50
TRN B -2.28 0.49
FEV A 0.13 0.49
SMWH F -1.72 0.49
TBCG B 1.87 0.48
TPK F -2.33 0.48
WTAN A -0.20 0.48
MTO A -3.17 0.48
PIN A -0.15 0.48
HILS A -0.10 0.47
OSB D 0.72 0.47
CCL D 1.17 0.47
HAS F -0.49 0.46
PAG A 0.78 0.46
CEY B 1.21 0.46
SVS A 0.58 0.44
QLT C 3.61 0.43
ASCL A -0.32 0.43
BNKR A 0.00 0.43
LRE D -2.17 0.43
RSW D -1.34 0.43
ENOG B -0.18 0.43
PAGE D 2.01 0.43
PETS C -1.53 0.42
SEQI C 0.74 0.42
PTEC D 0.11 0.42
BOY B -2.16 0.41
IWG C -1.08 0.41
ATT C 0.73 0.41
COA A -1.83 0.40
DOM F -1.39 0.40
SRE B -1.05 0.39
JTC B -1.18 0.39
PHP D -2.63 0.38
AGR F -2.15 0.37
ASL A 0.72 0.36
GNS F -2.86 0.36
HRI C 0.00 0.36
JMG D 0.00 0.36
VCT F -0.96 0.35
SONG B 0.40 0.35
MONY F -0.28 0.35
CLDN A 0.28 0.35
OXIG C 2.59 0.35
DNLM F 3.97 0.35
SPT A 0.00 0.35
FGP B -1.04 0.34
DWL F -2.17 0.34
TEP B 0.60 0.34
AGT A 0.00 0.33
LWDB A 0.00 0.33
BRWM B -0.18 0.33
EDIN A 0.14 0.33
IEM D 0.00 0.33
CKN A -0.12 0.32
WG C -1.41 0.32
GEN A 0.93 0.32
CGT A -0.53 0.32
RICA C -0.55 0.32
JUST A 1.78 0.32
HMSO B -3.95 0.32
PFD A 0.00 0.31
TRY D -0.64 0.31
CHG A 0.14 0.30
BYIT D -0.73 0.30
MGNS B -1.72 0.30
VSVS D 0.21 0.30
MUT A -0.35 0.29
BBGI C -1.38 0.29
RAT C 1.25 0.29
SUPR F -1.76 0.28
KNOS F 0.11 0.27
IHP B -1.50 0.27
FCSS B 2.91 0.27
SAIN C 0.50 0.27
AJB C 0.98 0.27
ICGT B 0.00 0.26
ASHM F -1.82 0.26
ELM C -3.23 0.26
MGAM A 2.85 0.26
GPE C -2.50 0.26
MRCH B -0.36 0.25
KLR B -1.67 0.24
JFJ D 0.79 0.24
SDP A 1.50 0.24
NBPE B -0.84 0.24
TFIF D -0.38 0.24
WOSG F -1.88 0.24
FAN D 0.85 0.24
FUTR D -3.21 0.23
TMPL A -0.20 0.23
VOF A 0.11 0.23
HTWS B -2.22 0.23
HFG A 1.09 0.23
SPI B 0.20 0.22
WKP F -3.32 0.22
CBG C -1.16 0.21
JII A -0.53 0.21
BBH F -0.97 0.21
BRSC B -0.43 0.21
DSCV B 2.39 0.21
BCG C 0.22 0.21
WIN A 0.50 0.21
ESCT A 0.23 0.21
SNR F -1.11 0.21
JDW C -0.81 0.20
RHIM C 4.76 0.20
BRGE C 0.16 0.20
CCR F 1.09 0.20
FSV A -0.17 0.20
SEIT D 0.34 0.20
SOI A 0.78 0.20
BGFD F 0.28 0.20
TRST C -1.33 0.20
MAB C 0.21 0.19
USA B 0.31 0.19
APAX F 0.00 0.19
GCP C -0.68 0.19
BSIF D 1.76 0.19
MSLH F -3.39 0.19
BPT D -0.09 0.18
STEM B -1.05 0.18
THRG C -0.51 0.18
JLEN D 1.52 0.18
HSL C 0.13 0.18
SYNC D 1.61 0.18
TYMN A 0.00 0.18
EOT C -0.47 0.18
BOWL A 0.00 0.17
EWI D 0.42 0.17
KIE C 2.02 0.17
IBST C -2.09 0.17
N91 F -1.08 0.17
PHI A 1.45 0.17
HTG B 0.14 0.16
SHED D -2.13 0.16
ESNT C 0.82 0.16
PRTC B -0.23 0.16
ESP F -1.76 0.16
PHLL A -0.72 0.16
HOC A 3.57 0.15
CRST F -3.76 0.15
MOON B -0.22 0.15
BAG B 0.00 0.15
THRL F -2.05 0.15
UKCM D -1.65 0.15
FSFL D 1.99 0.15
NESF D 0.94 0.14
ATG F 1.92 0.14
AML F -1.78 0.14
TIFS C -0.67 0.14
IPO D -1.35 0.14
DOCS F -1.42 0.13
BCPT B -0.75 0.13
ORIT F -0.42 0.12
BOXE D 0.77 0.12
JUP F -0.26 0.11
NAS F 0.00 0.11
FSG C -0.22 0.11
SLPE F 0.00 0.11
MCG F 0.36 0.10
AO A 0.38 0.10
PPH A 1.01 0.09
PZC D 6.77 0.06
BAKK A 2.93 0.05
ITH F -0.84 0.04
FXPO F -2.30 0.04
WPS F -0.31 0.03

Recent News for iShares FTSE 250 UCITS ETF & its Holdings

The fund is an exchange traded fund (ETF) that aims to track the performance of the FTSE 250 Index as closely as possible. The ETF invests in physical index securities. The FTSE 250 Index offers exposure to 250 UK stocks which rank below the FTSE 100 Index measured by full market capitalisation. The index is free float market capitalisation weighted. iShares ETFs are funds managed by BlackRock. They are transparent, cost-efficient, liquid vehicles that trade on stock exchanges like normal securities. iShares ETFs offer flexible and easy access to a wide range of markets and asset classes.
Exchange Traded Funds Exchange Traded Fund ETF Stock Exchanges Blackrock FTSE Ftse 100 Index Silver Exchange Traded Product Ftse 250 Index Ftse Mid 250 Index
Back to the Main MIDD Page...