Ticker
Fund Name
Share class
Incept date
Net assets (USD)
YTD (%)
1Y (%)
3Y (%)
5Y (%)
10Y (%)
Incept (%)
Perf. as of
May 15, 2000
660,393M
8.56
16.29
17.07
15.85
13.62
7.96
Jul 31, 2025
Oct 18, 2012
148,817M
17.99
12.65
12.93
10.17
6.31
7.15
Jul 31, 2025
Sep 22, 2003
129,105M
3.75
3.40
1.65
-1.07
1.63
3.09
Jul 31, 2025
May 22, 2000
117,542M
9.98
23.52
22.40
17.07
16.85
8.18
Jul 31, 2025
US Class
Oct 18, 2012
102,159M
16.76
15.80
10.49
5.95
5.87
4.25
Jul 31, 2025
May 22, 2000
99,185M
1.80
3.23
9.57
12.74
9.36
9.36
Jul 31, 2025
Jan 05, 2024
91,061M
24.80
77.46
-
-
-
86.75
Jul 31, 2025
May 22, 2000
84,534M
-3.59
-4.77
4.54
10.90
8.17
9.22
Jul 31, 2025
Jan 20, 2004
74,700M
8.07
15.68
16.42
15.11
13.03
10.17
Jul 31, 2025
Aug 14, 2001
66,046M
17.36
11.92
13.03
10.22
6.05
5.82
Jul 31, 2025
US Class
May 22, 2000
64,053M
-0.14
-0.67
6.91
9.68
7.37
7.68
Jul 31, 2025
May 22, 2000
63,162M
12.47
25.39
19.64
16.29
15.73
8.37
Jul 31, 2025
May 22, 2000
62,737M
6.50
8.59
10.40
12.98
9.02
7.43
Jul 31, 2025
May 26, 2020
54,543M
2.47
4.62
4.74
2.89
-
2.78
Jul 31, 2025
Jul 16, 2013
54,263M
3.88
8.31
16.17
14.34
12.75
13.17
Jul 31, 2025
Jan 21, 2005
49,027M
26.17
35.63
23.15
10.65
11.35
10.16
Jul 31, 2025
Jul 22, 2002
48,231M
1.59
-4.32
-6.16
-10.15
-0.79
3.67
Jul 31, 2025
Oct 18, 2012
47,682M
17.58
14.30
12.27
9.21
6.32
6.37
Jul 31, 2025
Jul 17, 2001
43,985M
6.65
11.84
11.30
12.05
9.84
9.57
Jul 31, 2025
May 15, 2000
42,636M
8.38
16.36
16.79
15.34
13.24
7.98
Jul 31, 2025
May 22, 2000
40,709M
4.09
5.41
12.85
14.19
10.28
7.14
Jul 31, 2025
Mar 13, 2007
40,350M
3.78
3.36
1.12
-0.75
1.09
2.52
Jul 31, 2025
Sep 07, 2007
38,736M
-0.93
-0.27
1.36
0.10
1.91
2.99
Jul 31, 2025
Jul 22, 2002
35,850M
4.67
2.56
-0.24
-2.82
0.97
3.44
Jul 31, 2025
Jun 10, 2014
33,540M
3.94
3.99
2.37
-0.54
2.00
2.07
Jul 31, 2025
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For mutual fund and exchange traded fund fees and standardized quarterly performance, please click on the fund name.

The performance quoted represents past performance and does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than the original cost. Current performance may be lower or higher than the performance quoted. Standardized performance and performance data current to the most recent month end may be obtained by clicking on the fund names above.

The iShares Trusts are not investment companies registered under the Investment Company Act of 1940, and therefore are not subject to the same regulatory requirements as mutual funds or ETFs registered under the Investment Company Act of 1940. Investment in these products are speculative and involve a high degree of risk. A sponsor fee is shown in lieu of gross and net expense ratios for the iShares Trusts.