Skip to main content

iShares MSCI USA ESG Select ETF

SUSA

Sustainable Index

86.1%

Excluded by weight

134

Excluded companies

175

Total holdings

Holdings as of end-of-period filing dated February 23, 2026. Source: SEC N-PORT filing / fund provider disclosure.

Filter by harm category

Screened out

134 companies · 86.1% by weight
NVDA7.45%

NVIDIA CORP

See why excluded →
AAPL5.46%

APPLE INC

See why excluded →
MSFT3.82%

MICROSOFT CORP

See why excluded →
GOOGL2.94%

ALPHABET INC CLASS A

See why excluded →
AVGO2.50%

BROADCOM INC

See why excluded →
GOOG2.08%

ALPHABET INC CLASS C

See why excluded →
TSLA1.97%

TESLA INC

See why excluded →
AMAT1.74%

APPLIED MATERIAL INC

See why excluded →
LLY1.62%

ELI LILLY

See why excluded →
HD1.39%

HOME DEPOT INC

See why excluded →
KO1.36%

COCA-COLA

See why excluded →
GILD1.30%

GILEAD SCIENCES INC

See why excluded →
MS1.27%

MORGAN STANLEY

See why excluded →
CMI1.23%

CUMMINS INC

See why excluded →
ECL1.18%

ECOLAB INC

See why excluded →
AXP1.02%

AMERICAN EXPRESS

See why excluded →
V1.01%

VISA INC CLASS A

See why excluded →
TT1.01%

TRANE TECHNOLOGIES PLC

See why excluded →
MA0.95%

MASTERCARD INC CLASS A

See why excluded →
WDC0.93%

WESTERN DIGITAL CORP

See why excluded →
BK0.90%

BANK OF NEW YORK MELLON CORP

See why excluded →
MU0.86%

MICRON TECHNOLOGY INC

See why excluded →
OKE0.86%

ONEOK INC

See why excluded →
MMM0.85%

3M

See why excluded →
PRU0.80%

PRUDENTIAL FINANCIAL INC

See why excluded →
PG0.80%

PROCTER & GAMBLE

See why excluded →
TRGP0.79%

TARGA RESOURCES CORP

See why excluded →
EA0.77%

ELECTRONIC ARTS INC

See why excluded →
TXN0.73%

TEXAS INSTRUMENT INC

See why excluded →
SPGI0.71%

S&P GLOBAL INC

See why excluded →
AMD0.70%

ADVANCED MICRO DEVICES INC

See why excluded →
CSCO0.69%

CISCO SYSTEMS INC

See why excluded →
BKR0.69%

BAKER HUGHES CLASS A

See why excluded →
LNG0.68%

CHENIERE ENERGY INC

See why excluded →
IBM0.68%

INTERNATIONAL BUSINESS MACHINES CO

See why excluded →
LOW0.68%

LOWES COMPANIES INC

See why excluded →
IDXX0.62%

IDEXX LABORATORIES INC

See why excluded →
NI0.61%

NISOURCE INC

See why excluded →
MRK0.61%

MERCK & CO INC

See why excluded →
NFLX0.61%

NETFLIX INC

See why excluded →
NXPI0.61%

NXP SEMICONDUCTORS NV

See why excluded →
EW0.60%

EDWARDS LIFESCIENCES CORP

See why excluded →
CRM0.60%

SALESFORCE INC

See why excluded →
GE0.58%

GE AEROSPACE

See why excluded →
WMB0.58%

WILLIAMS INC

See why excluded →
HIG0.54%

HARTFORD INSURANCE GROUP INC

See why excluded →
ADSK0.54%

AUTODESK INC

See why excluded →
NOW0.54%

SERVICENOW INC

See why excluded →
LIN0.53%

LINDE PLC

See why excluded →
VZ0.53%

VERIZON COMMUNICATIONS INC

See why excluded →
NEM0.53%

NEWMONT

See why excluded →
DGX0.52%

QUEST DIAGNOSTICS INC

See why excluded →
KEYS0.52%

KEYSIGHT TECHNOLOGIES INC

See why excluded →
ZTS0.52%

ZOETIS INC CLASS A

See why excluded →
TSCO0.52%

TRACTOR SUPPLY

See why excluded →
PANW0.51%

PALO ALTO NETWORKS INC

See why excluded →
BG0.49%

BUNGE GLOBAL

See why excluded →
INTC0.48%

INTEL CORPORATION CORP

See why excluded →
GEV0.48%

GE VERNOVA INC

See why excluded →
STE0.48%

STERIS

See why excluded →
GIS0.48%

GENERAL MILLS INC

See why excluded →
CAT0.48%

CATERPILLAR INC

See why excluded →
INTU0.47%

INTUIT INC

See why excluded →
JCI0.46%

JOHNSON CONTROLS INTERNATIONAL PLC

See why excluded →
MCO0.46%

MOODYS CORP

See why excluded →
ORCL0.45%

ORACLE CORP

See why excluded →
AMGN0.43%

AMGEN INC

See why excluded →
ES0.41%

EVERSOURCE ENERGY

See why excluded →
BKNG0.40%

BOOKING HOLDINGS INC

See why excluded →
ANET0.40%

ARISTA NETWORKS INC

See why excluded →
DIS0.40%

WALT DISNEY

See why excluded →
ELV0.40%

ELEVANCE HEALTH INC

See why excluded →
CHRW0.39%

CH ROBINSON WORLDWIDE INC

See why excluded →
WSM0.37%

WILLIAMS SONOMA INC

See why excluded →
CLX0.37%

CLOROX

See why excluded →
CBRE0.37%

CBRE GROUP INC CLASS A

See why excluded →
CDNS0.36%

CADENCE DESIGN SYSTEMS INC

See why excluded →
ADBE0.35%

ADOBE INC

See why excluded →
HLT0.35%

HILTON WORLDWIDE HOLDINGS INC

See why excluded →
PNC0.34%

PNC FINANCIAL SERVICES GROUP INC

See why excluded →
VRTX0.34%

VERTEX PHARMACEUTICALS INC

See why excluded →
PGR0.33%

PROGRESSIVE CORP

See why excluded →
DECK0.33%

DECKERS OUTDOOR CORP

See why excluded →
KMB0.33%

KIMBERLY CLARK CORP

See why excluded →
SNPS0.31%

SYNOPSYS INC

See why excluded →
A0.30%

AGILENT TECHNOLOGIES INC

See why excluded →
CCI0.29%

CROWN CASTLE INC

See why excluded →
WAT0.29%

WATERS CORP

See why excluded →
HPE0.28%

HEWLETT PACKARD ENTERPRISE

See why excluded →
J0.28%

JACOBS SOLUTIONS INC

See why excluded →
WBD0.28%

WARNER BROS. DISCOVERY INC SERIES

See why excluded →
ACN0.28%

ACCENTURE PLC CLASS A

See why excluded →
EXC0.28%

EXELON CORP

See why excluded →
ICE0.26%

INTERCONTINENTAL EXCHANGE INC

See why excluded →
RJF0.26%

RAYMOND JAMES INC

See why excluded →
BBY0.25%

BEST BUY INC

See why excluded →

Own SUSA? See your full picture.

This fund is one piece. Scan your entire portfolio to see your total exposure across all holdings and funds.

About this screening

iShares MSCI USA ESG Select ETF applies its own values-based screening methodology. We analyze it because that shared practice — using an ethical framework to exclude companies for non-financial reasons — makes the comparison meaningful. This fund's methodology differs from ours. The purpose of this page is to make those differences tangible and help investors know what they own.