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IQLT

IQLT IQLT

$49.75 +0.14 (+0.28%)
Neutral · +0.67σ

Price chart

Timeframe
Range

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Latest bar · IQLT

Momentum reads · latest daily bar
Last
$49.75
+0.14 (+0.28%)
Mkt cap
$13.6B
Foreign Large Blend
RSI(14)
54.5
neutral
Stochastic %K
56.7
neutral
MFI(14)
49.8
neutral
ADX(14)
6.3
weak trend

Green means room to run, red means stretched — the reads re-read live as you switch the chart's timeframe. MFI(14) is a volume-weighted money-flow read: above 80 = overbought, below 20 = oversold.

Top holdings

TickerName Weight
ASML.AS ASML Holding NV 6.56%
ALV.DE Allianz SE 2.59%
ABBN.SW ABB Ltd 2.18%
ROP.SW Roche Holding AG Ordinary Shares new 2.09%
NESN.SW Nestle SA 1.89%
AZN.L AstraZeneca PLC 1.87%
NOVN.SW Novartis AG Registered Shares 1.82%
ZURN.SW Zurich Insurance Group AG 1.81%
6857.T Advantest Corp 1.68%
8035.T Tokyo Electron Ltd 1.68%
Everything else 75.83%

Click any ticker to open its own chart page.

Sector / asset mix

Sector weightings

Financial Services
24.8%
Industrials
17.2%
Technology
13.0%
Healthcare
9.1%
Consumer Cyclical
8.1%
Basic Materials
6.8%
Consumer Defensive
6.6%
Energy
5.0%
Communication Services
4.5%
Utilities
3.6%
Realestate
1.4%

Asset split

Stock
98.8%
Cash
0.7%
Other
0.6%

Fund profile

Expense ratio
0.30%
Total assets (AUM)
$13.64B
Distribution yield
2.41%
Category
Foreign Large Blend
Fund family
iShares
Inception
Jan 13, 2015

Expense ratio is the annual cost of holding the fund; distribution yield is what it pays out.

Compare IQLT vs peers

Line IQLT up against up to 4 peers (5 tickers total) across ~30 metrics and get one weighted 0-100 verdict — best in green, worst in red. Peers also overlay on the chart above as rebased % lines, or flip the chart to the 2×2 grid for side-by-side mini charts.

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~30 metrics across Snapshot, OdysseyHQ zone, Valuation, Growth, Quality, Technicals, Sentiment, and Risk — with a weighted score and a one-line read on each.

About IQLT

The fund generally will invest at least 80% of its assets in the component securities of its underlying index and in investments that have economic characteristics that are substantially identical to the component securities of its underlying index. The index 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.