The iShares Global 100 ETF is heavily concentrated in top US tech stocks, with 50% of its assets in its top seven holdings. IOO's recent outperformance has reversed in 2026, as high valuations and macro headwinds have led to underperformance and negative sentiment. Despite a strong three-year run, IOO now faces elevated risk from sector and geographic concentration, and its 0.40% fee is high for a passive ETF.
The iShares Global 100 ETF (IOO) offers global exposure but remains heavily biased toward US mega caps and technology. IOO's recent outperformance stems from favorable market regimes and macro divergences, not structural advantages likely to persist. With ~80% US allocation and 58% in the top 10 holdings, IOO's diversification is limited and reactive to global shifts.
iShares Global 100 ETF warrants a hold rating due to mixed qualities, including high fees and relatively low diversification. IOO has a strong 10-year average annual share price return but lags behind competitors like MGC and OEF. Key holdings like Apple, Microsoft, and Nvidia face uncertainties, impacting IOO's forward-looking performance.
| Name | Quantity | Cost | Value | Profit ($) | Gain (%) |
|---|---|---|---|---|---|
SkyOak Wealth SkyOak Wealth LLC | 3,123 | $314.88 | $444,059.37 | $443,744.49 | 140,926.39% |
| TF Ted Fischer FISCHER INVESTMENT STRATEGIES, LLC | 12,397 | $1.28M | $1.76M | $483,163.93 | 37.76% |
| RS Rajiv Shah KINGSWOOD WEALTH ADVISORS, LLC | 46,453 | $4.53M | $6.61M | $2.08M | 45.83% |
| JH John Hayes LongView Wealth Management | 3,442 | $342,558.52 | $489,417.98 | $146,859.46 | 42.87% |
| CCP Christopher C. Powers Farther Finance Advisors, LLC | 19,169 | $2.3M | $2.73M | $422,366.88 | 18.34% |
| ARCA Exchange | US Country |
The provided company description outlines the investment approach of a fund that primarily focuses on tracking the components of its underlying index. It dedicates a significant portion of its assets, at least 80%, to securities that are part of or have economic characteristics similar to the components of this index. Additionally, the fund retains the flexibility to allocate up to 20% of its assets to various financial instruments such as futures, options, and swaps, as well as maintaining holdings in cash and cash equivalents to manage liquidity and hedge against market volatility. The fund is characterized as non-diversified, which means it may invest a larger portion of its assets in a smaller number of issuers, making it potentially more susceptible to specific market risks and volatility than diversified funds.
The investment options provided by the fund can be detailed as follows: