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IWC

iShares Micro-Cap ETF
1W: +0.2% 1M: -5.8% 3M: -0.8% YTD: +1.0% 1Y: +38.1% 3Y: +59.0% 5Y: +9.5%
$160.26
-2.95 (-1.81%)
After Hours: $162.50 (+2.24, +1.40%)
ETF AMEX · AUM $1.0B
ETF-Level Metrics
AUM$1.0B
Holdings1,286
Top 10 Wt10.7%
Beta1.38
% Profitable44%
Coverage99%
Portfolio Valuation
P/E41.3
P/B
P/S3.4
EV/EBITDA7.2
P/FCF0.1
PEG2.70
Profitability & Returns
Gross Margin2918.3%
Net Margin-13.9%
ROE-0.0%
ROA-0.0%
ROIC-0.0%
Div Yield1.18%
Leverage & Liquidity
Debt/Equity0.01
Debt/Assets0.01
Net Debt/EBITDA-727.4x
Interest Cov-0.2x
Current Ratio5.97
Quick Ratio5.48
Growth (YoY)
Revenue+19.1%
Net Income+18.4%
EPS+24.2%
FCF+10.3%
EBITDA+17.4%
Rev CAGR 3Y+29.2%
Quality Scores
Piotroski F5.0
Altman Z6.83
IS Quality56.4
IS Overall44.6
IS Value48.3
Median P/E-0.7

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Healthcare 350 28.5% 1.0
Financial Services 247 19.9% 13.0
Technology 173 15.4% 2.7
Industrials 154 12.7% 68.3
Consumer Cyclical 116 5.9% -1.5
Energy 49 5.1% 14.3
Basic Materials 38 3.8% -39.2
Real Estate 65 3.7% 4.9
Communication Services 47 2.0% 16.5
Consumer Defensive 35 1.9% 14.3
Utilities 13 0.9% 23.1
Other 17 0.2%

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 50 of 1304 holdings · Page 1 of 27
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 PRAXIS PRECISION MEDICINES INC PRAX 1.55% $18.8M 64,965 -22.5 $6.4B Healthcare
2 APPLIED DIGITAL CORP APLD 1.38% $16.7M 628,459 -56.0 $7.2B Technology
3 APPLIED OPTOELECTRONICS INC AAOI 1.22% $14.8M 159,572 -179.2 $7.3B Technology
4 CIPHER DIGITAL INC CIFR 1.04% $12.6M 857,821 -6.7 $5.8B Financial Services
5 COGENT BIOSCIENCES INC COGT 1.04% $12.6M 367,308 -7.6 $6.0B Healthcare
6 TERAWULF INC WULF 1.01% $12.3M 801,996 -9.2 $6.5B Financial Services
7 ENERGY FUELS INC EFR.TO 0.93% $11.3M 603,838 -48.0 $5.9B Energy
8 TERNS PHARMACEUTICALS INC TERN 0.89% $10.8M 226,653 -51.6 $4.8B Healthcare
9 VISTANCE NETWORKS INC COMM 0.84% $10.2M 576,984 2.9 $3.9B Technology
10 CELCUITY INC CELC 0.79% $9.6M 85,039 -34.1 $5.3B Healthcare
11 CENTRUS ENERGY CORP CLASS A LEU 0.77% $9.3M 44,592 46.8 $3.7B Energy
12 TUTOR PERINI CORP TPC 0.69% $8.4M 117,787 50.0 $4.0B Industrials
13 NLIGHT INC LASR 0.69% $8.4M 122,557 -138.6 $3.6B Technology
14 PERPETUA RESOURCES CORP PPTA.TO 0.53% $6.4M 224,904 -43.6 $4.4B Basic Materials
15 ERASCA INC ERAS 0.51% $6.2M 459,035 -34.5 $4.7B Healthcare
16 LIQUIDIA CORP LQDA 0.51% $6.2M 169,900 -46.5 $3.2B Healthcare
17 DIANTHUS THERAPEUTICS INC DNTH 0.50% $6.0M 76,560 $3.2B Healthcare
18 VIRIDIAN THERAPEUTICS ORS INC VRDN 0.48% $5.9M 211,238 -7.0 $2.4B Healthcare
19 BEL FUSE INC CLASS B BELFB 0.47% $5.7M 27,469 7.0 $2.6B Technology
20 DAVE INC CLASS A DAVE 0.47% $5.7M 27,432 12.4 $2.4B Technology
21 AXT INC AXTI 0.46% $5.6M 114,797 -123.1 $2.6B Technology
22 ASTRONICS CORP ATRO 0.46% $5.6M 81,040 85.6 $2.3B Industrials
23 AMPRIUS TECHNOLOGIES INC AMPX 0.45% $5.5M 291,443 -51.5 $2.4B Industrials
24 HYCROFT MINING HOLDING CLASS A HYMC 0.44% $5.3M 145,863 -33.2 $2.8B Basic Materials
25 ADAPTIVE BIOTECHNOLOGIES CORP ADPT 0.43% $5.2M 394,644 -35.9 $2.1B Healthcare
26 TANGO THERAPEUTICS INC TNGX 0.43% $5.3M 281,053 -22.7 $2.3B Healthcare
27 IMMUNOME INC IMNM 0.42% $5.1M 247,440 -8.4 $1.8B Healthcare
28 DIGI INTERNATIONAL INC DGII 0.39% $4.8M 96,305 42.8 $1.8B Technology
29 RED CAT HOLDINGS INC RCAT 0.38% $4.6M 271,109 -23.2 $1.4B Technology
30 BLUE BIRD CORP BLBD 0.37% $4.5M 83,756 13.9 $1.8B Consumer Cyclical
31 DUCOMMUN INC DCO 0.37% $4.6M 36,467 -53.5 $1.8B Industrials
32 BIGBEAR.AI HOLDINGS INC BBAI 0.36% $4.4M 1,147,313 -4.1 $1.2B Technology
33 CECO ENVIRONMENTAL CORP CECO 0.36% $4.4M 77,958 43.5 $2.2B Industrials
34 DEFINIUM THERAPEUTICS INC DFTX 0.36% $4.4M 248,767 $1.9B Healthcare
35 ICHOR HOLDINGS LTD 0Z0F.L 0.35% $4.2M 89,820 -29.6 $1.6B Industrials
36 TURNING POINT BRANDS INC TPB 0.34% $4.1M 45,902 27.8 $1.6B Consumer Defensive
37 ARTIVION INC AORT 0.34% $4.1M 111,363 177.2 $1.7B Healthcare
38 A10 NETWORKS INC ATEN 0.34% $4.1M 190,285 39.4 $1.7B Technology
39 THERMON GROUP HOLDINGS INC THR 0.34% $4.1M 86,844 28.4 $1.7B Industrials
40 DIVERSIFIED HEALTHCARE TRUST DHC 0.34% $4.1M 580,339 -5.8 $1.7B Real Estate
41 ORUKA THERAPEUTICS INC ORKA 0.34% $4.2M 101,878 -23.5 $1.7B Healthcare
42 NURIX THERAPEUTICS INC NRIX 0.33% $4.0M 265,075 -5.6 $1.3B Healthcare
43 INTERFACE INC TILE 0.33% $4.0M 153,271 12.7 $1.5B Consumer Cyclical
44 NAVITAS SEMICONDUCTOR CORP NVTS 0.32% $3.8M 422,876 -17.1 $2.1B Technology
45 ARLO TECHNOLOGIES INC ARLO 0.31% $3.7M 262,964 100.4 $1.5B Industrials
46 ALUMIS INC ALMS 0.31% $3.8M 149,477 -11.3 $3.1B Healthcare
47 ENVIRI CORP NVRI 0.30% $3.6M 200,973 -8.9 $1.5B Industrials
48 WAVE LIFE SCIENCES LTD WVE 0.30% $3.6M 305,951 -5.5 $1.2B Healthcare
49 AXOGEN INC AXGN 0.30% $3.6M 117,658 -96.4 $1.7B Healthcare
50 SELECT WATER SOLUTIONS INC CLASS A WTTR 0.30% $3.6M 249,368 75.4 $1.6B Utilities
1 2 3 ... 27 Next →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms