iShares S&P 500 Growth

iShares S&P 500 Growth
  • Pininvest Analysis

BlackRock is trusted to manage more money than any other investment manager in the world, helping millions of people and the world’s biggest institutions and governments reach their investing goals.

With over $1 trillion invested in over 800 iShares ETFs, iShares by BlackRock is the largest global ETF provider

The iShares S&P 500 Growth ETF seeks to track the investment results of an index composed of large-capitalization U.S. equities that exhibit growth characteristics

Use the fund as a complement to a portfolio's core holdings to gain exposure to large U.S. companies whose earnings are expected to grow at an above-average rate relative to the market

The complete list of 290 IVW constitutents presented in the theme is not weighted; performance and volatility are calculated for informative purpose only - assuming one share of each component had been invested at the beginning of the selected period

More about the iShares S&P 500 Growth ETF

iShares S&P 500 Growth • Updated:

Name Ticker Exchange Sector Industry Currency Cur.Price Mkt.Cap Perf. Vol. Risk Contrib. MDD
 
3M Company MMM NYSE Industrial Goods Engineered Industrial Products USD 161.50 93 B -17.7% 26%   0% -29%
A. O. Smith Corporation AOS NYSE Industrial Goods Electrical Components, Connectors & Sensors USD 46.27 7.7 B -19.2% 28%   0% -33%
Abbott Laboratories ABT NYSE Health Care Drug Manufacturers - Diversified USD 84.78 150 B 32.9% 23%   0% -12%
AbbVie Inc ABBV NYSE Health Care Drug Manufacturers - Diversified USD 64.43 95 B -30.6% 31%   0% -36%
Accenture Plc. ACN NYSE Technology Software - Business Applications USD 193.22 130 B 19.0% 21%   0% -23%
Activision Blizzard Inc ATVI NASDAQ Technology Videogame Software USD 46.66 36 B -32.0% 43%   0% -52%
Adobe Systems Incorporated ADBE NASDAQ Technology Software - Prepackaged USD 287.45 140 B 17.0% 35%   1% -26%
Advanced Micro Devices AMD NASDAQ Technology Semiconductors - IC Design (fabless) USD 31.18 34 B 57.7% 70%   1% -49%
Affiliated Managers Group AMG NYSE Finance Asset Management USD 75.94 3.9 B -47.3% 31%   0% -50%
Agilent Technologies A NYSE Health Care Medical Laboratories & Research USD 71.08 22 B 10.9% 28%   0% -20%
Air Products and Chemicals APD NYSE Industrial Goods Chemicals - Major USD 228.76 50 B 40.0% 19%   0% -13%
Akamai Technologies AKAM NASDAQ Technology Information Systems & Network Software USD 86.65 14 B 21.3% 30%   1% -25%
Albemarle Corp. ALB NYSE Industrial Goods Chemicals - Specialties USD 63.09 6.7 B -32.4% 34%   0% -43%
Alexandria Real Estate Equities ARE NYSE Real Estate REITs Health Care & Senior Housing USD 148.10 17 B 17.1% 19%   0% -15%
Alexion Pharmaceuticals Inc. ALXN NASDAQ Health Care Biopharmaceuticals USD 110.85 25 B -4.4% 36%   0% -32%
Align Technology Inc. ALGN NASDAQ Health Care Dental Instruments & Equipment USD 177.29 14 B -50.4% 58%   0% -56%
Allegion plc ALLE NYSE Services Security & Protection Services USD 95.43 9.0 B 11.2% 21%   0% -19%
Alliance Data Systems ADS NYSE Technology Data Processing & Data Analytics (EDP) USD 138.69 7.1 B -41.0% 34%   0% -46%
Allstate Corporation ALL NYSE Finance Property & Casualty Insurance USD 103.22 34 B 5.1% 20%   0% -24%
Alphabet class A GOOGL NASDAQ Technology Internet - Content Delivery USD 1,179.21 820 B -3.0% 29%   0% -22%
Alphabet class C GOOG NASDAQ Technology Internet - Content Delivery USD 1,177.60 819 B -1.9% 29%   0% -22%
Altria Group MO NYSE Consumer Non-Durables Tobacco Products USD 46.48 87 B -18.6% 26%   0% -34%
Amazon.com AMZN NASDAQ Services E-commerce Services USD 1,792.57 883 B -4.8% 35%   1% -34%
American Airlines AAL NASDAQ Transportation Major Airlines USD 25.79 11 B -30.7% 42%   0% -42%
American Express Company AXP NYSE Finance Credit Services USD 124.63 103 B 22.5% 20%   0% -21%
American Tower AMT NYSE Real Estate REITs Other Specialized Trusts USD 222.93 99 B 49.8% 18%   0% -7%
American Water Works AWK NYSE Utilities Water Supply USD 124.22 22 B 40.9% 17%   0% -12%
Ameriprise Financial Services AMP NYSE Finance Investment Bankers/Brokers/Service USD 126.34 17 B -6.7% 31%   0% -36%
Ametek AME NYSE Industrial Goods Precision, Measurement & Processing USD 85.65 20 B 13.0% 23%   0% -22%
Amgen Inc. AMGN NASDAQ Health Care Biopharmaceuticals USD 204.02 122 B 6.2% 24%   0% -20%
Amphenol Corp. APH NYSE Industrial Goods Cables, Connectors & Cabling Networks USD 86.61 26 B -6.9% 23%   0% -23%
Analog Devices ADI NASDAQ Technology Semiconductors - Signal Processing USD 110.52 41 B 19.0% 31%   1% -23%
ANSYS Inc. ANSS NASDAQ Technology Software - Professional Design USD 209.57 18 B 21.7% 29%   1% -28%
Anthem Inc. ANTM NYSE Health Care Health Care Benefits & Insurance USD 275.54 70 B 5.6% 29%   0% -26%
Aon Corp. AON NYSE Finance Specialty Insurers & Brokers USD 191.51 46 B 34.7% 21%   0% -17%
Apartment Investment And Management AIV NYSE Real Estate REITs & Diversified Real Estate USD 50.66 7.5 B 18.7% 18%   0% -11%
Apple Inc. AAPL NASDAQ Technology Computer & Mobile Hardware USD 206.50 950 B -3.7% 32%   0% -39%
Applied Materials AMAT NASDAQ Technology Semiconductors – CapitalEqupt USD 46.63 44 B 8.4% 39%   1% -34%
Aptiv APTV NYSE Industrial Goods Automobile Subcontractors - Car Parts USD 81.85 21 B -10.8% 33%   0% -36%
Arthur J. Gallagher & Co. AJG NYSE Finance Specialty Insurers & Brokers USD 89.72 17 B 26.6% 17%   0% -12%
Autodesk Inc. ADSK NASDAQ Technology Software - Professional Design USD 144.13 32 B 8.9% 39%   1% -25%
Automatic Data Processing ADP NASDAQ Services Human Resources Staffing USD 167.02 73 B 19.3% 22%   0% -20%
AutoZone AZO NYSE Services Automotive Aftermarket USD 1,091.74 27 B 42.6% 23%   0% -10%
Avalonbay Communities AVB NYSE Real Estate REITs & Diversified Real Estate USD 205.84 29 B 15.6% 17%   0% -12%
Avery Dennison Corp. AVY NYSE Industrial Goods Packaging - Paper Products USD 113.98 10 B 8.6% 23%   0% -26%
Bank Of America Corp. BAC NYSE Finance Global Banks USD 27.03 252 B -10.1% 25%   0% -27%
Baxter International Inc. BAX NYSE Health Care Kidney Failure USD 86.97 44 B 21.8% 22%   0% -21%
Becton Dickinson and Company BDX NYSE Health Care Specialized Medical Devices USD 248.33 67 B -0.7% 22%   0% -21%
Biogen Inc BIIB NASDAQ Health Care Biopharmaceuticals USD 231.68 45 B -32.9% 44%   0% -39%
BlackRock BLK NYSE Finance Investment Bankers/Brokers/Service USD 419.46 65 B -8.8% 25%   0% -26%
Boeing Company BA NYSE Industrial Goods Aerospace/Defense - Major Diversified USD 330.45 186 B -2.3% 31%   0% -27%
BorgWarner BWA NYSE Industrial Goods Automobile Subcontractors - Car Parts USD 32.00 6.6 B -27.8% 33%   0% -33%
Boston Properties BXP NYSE Real Estate REITs & Industrial / Office Real Estate USD 128.21 20 B -0.1% 19%   0% -18%
Boston Scientific Corp. BSX NYSE Health Care Specialized Medical Devices USD 42.15 59 B 22.5% 26%   1% -19%
Bristol-Myers Squibb Company BMY NYSE Health Care Drug Manufacturers - Diversified USD 46.98 77 B -20.2% 30%   0% -32%
Broadcom AVGO NASDAQ Technology Semiconductors - IC Design (fabless) USD 273.78 108 B 35.5% 34%   1% -21%
Brown-Forman BF_B NYSE Consumer Non-Durables Beverages - Wineries & Distillers USD 57.54 - 8.6% 23%   0% -16%
Cabot Oil & Gas COG NYSE Energy Crude Oil & Natural Gas USD 16.47 7.0 B -28.9% 32%   0% -41%
Cadence Design Systems Inc. CDNS NASDAQ Technology Software - Prepackaged USD 69.32 19 B 53.4% 31%   1% -12%
Carmax Inc KMX NYSE Services Automotive Aftermarket USD 85.03 14 B 15.5% 27%   0% -30%
Carnival Corp. CCL NYSE Services Cruise Tourism USD 44.93 32 B -22.5% 28%   0% -34%
Caterpillar CAT NYSE Industrial Goods Const & Agr Equipt/Engines/Trucks USD 116.43 66 B -13.9% 32%   0% -29%
CBOE Holdings Inc. CBOE NASDAQ Finance Investment Bankers/Brokers/Service USD 121.37 14 B 28.0% 21%   0% -19%
CBS Corp. CBS NYSE Services Broadcasting & Communications Systems USD 43.80 16 B -16.3% 26%   0% -28%
Celgene CELG NASDAQ Health Care Drug Manufacturers -Specialty Pharma USD 94.74 67 B 4.8% 33%   0% -37%
Centene Corp. CNC NYSE Health Care Managed Care Companies USD 48.01 20 B -33.2% 35%   0% -36%
Cerner Corporation CERN NASDAQ Health Care Health Care Information Technology USD 70.65 23 B 8.5% 25%   0% -26%
CF Industries Holdings CF NYSE Agriculture Seeds & Agricultural Chemicals USD 48.18 11 B 3.9% 36%   0% -30%
Charter Communications Inc. CHTR NASDAQ Utilities Cable & Internet Service Providers USD 384.51 86 B 28.3% 27%   0% -18%
Chipotle Mexican Grill CMG NYSE Services Hotels, Restaurants, Fast-Food & Resorts USD 817.20 23 B 60.1% 29%   0% -26%
Church & Dwight Company CHD NYSE Consumer Non-Durables Cosmetics & Personal Care USD 79.70 20 B 41.0% 23%   0% -13%
Cigna Corp. CI NYSE Finance Accident & Health Insurance USD 161.24 61 B -14.4% 30%   0% -35%
Cimarex Energy XEC NYSE Energy Crude Oil & Natural Gas USD 41.05 4.2 B -49.2% 41%   0% -62%
Cintas Corporation CTAS NASDAQ Consumer Non-Durables Textile Crafts - Apparel USD 264.40 28 B 25.2% 24%   0% -28%
Cisco Systems CSCO NASDAQ Technology Datacom, Telcom & Network Equipt USD 46.96 201 B 5.3% 27%   0% -20%
Citrix Systems Inc. CTXS NASDAQ Technology Information Systems & Network Software USD 92.44 12 B -15.7% 17%   0% -20%
CME Group Inc. CME NASDAQ Finance Finance Business Services USD 213.58 76 B 28.8% 19%   0% -17%
Coca-Cola Company KO NYSE Consumer Non-Durables Beverages - Diversified USD 54.41 232 B 20.2% 18%   0% -12%
Cognizant Technology Solutions CTSH NASDAQ Technology Information Systems & Network Software USD 61.22 35 B -17.9% 27%   0% -27%
Colgate-Palmolive Company CL NYSE Consumer Non-Durables Cosmetics & Personal Care USD 72.28 62 B 9.6% 20%   0% -16%
Comcast Corporation CMCSA NASDAQ Utilities Cable & Internet Service Providers USD 43.18 196 B 23.5% 23%   0% -16%
Comerica Inc. CMA NYSE Finance Commercial Banks (National & Regional) USD 61.33 9.5 B -35.6% 27%   0% -40%
Constellation Brands Inc STZ NYSE Consumer Non-Durables Beverages - Wineries & Distillers USD 198.79 38 B -1.1% 29%   0% -34%
Cooper Companies COO NYSE Health Care Eyewear & Frames USD 335.38 17 B 30.2% 25%   0% -17%
Corning Inc. GLW NYSE Technology Datacom, Telcom & Network Equipt USD 27.63 22 B -14.0% 30%   0% -25%
Crown Castle International Corp. CCI NYSE Real Estate REITs Other Specialized Trusts USD 142.92 59 B 29.4% 18%   0% -12%
CSX Corp CSX NASDAQ Transportation Railroad Freight Services USD 65.09 53 B -10.4% 25%   0% -22%
D.R. Horton DHI NYSE Industrial Goods General Contractors - Home&Office USD 47.75 18 B 8.9% 31%   0% -29%
Darden Restaurants DRI NYSE Services Hotels, Restaurants, Fast-Food & Resorts USD 117.10 14 B 5.6% 23%   0% -19%
Deere & Company DE NYSE Industrial Goods Const & Agr Equipt/Engines/Trucks USD 149.23 47 B 8.3% 30%   0% -20%
Digital Realty Trust DLR NYSE Real Estate REITs Other Specialized Trusts USD 123.67 26 B 3.1% 24%   0% -18%
Dollar General Corp. DG NYSE Services Other Specialty Retail Stores USD 135.91 35 B 28.9% 23%   0% -16%
Dollar Tree Inc. DLTR NASDAQ Services Other Specialty Retail Stores USD 93.71 22 B -2.0% 30%   0% -20%
Dominion Energy D NYSE Utilities Electricity & Gas Distribution USD 76.86 62 B 12.0% 17%   0% -12%
Dover Corp. DOV NYSE Technology Semiconductors - Broad Line USD 90.72 13 B 10.4% 23%   0% -26%
DXC Technology DXC NYSE Technology Data Processing & Data Analytics (EDP) USD 31.79 8.5 B -62.7% 51%   0% -68%
E*TRADE Financial Corporation ETFC NASDAQ Finance Financial Transaction Services USD 41.09 10 B -31.9% 29%   0% -34%
eBay Inc EBAY NASDAQ Services E-commerce Services USD 40.02 34 B 18.5% 26%   0% -25%
Ecolab ECL NYSE Industrial Goods Pollution Control Equipment USD 206.81 60 B 41.6% 18%   0% -14%
Edwards Lifesciences Corp. EW NYSE Health Care Specialized Medical Devices USD 219.34 46 B 56.9% 32%   1% -20%
Electronic Arts Inc EA NASDAQ Technology Videogame Software USD 89.56 27 B -30.0% 41%   0% -42%
Eli Lilly LLY NYSE Health Care Drug Manufacturers - Diversified USD 110.52 107 B 7.1% 23%   0% -18%
Emerson Electric Company EMR NYSE Industrial Goods Electrical Power Systems & Automation USD 57.92 36 B -20.0% 24%   0% -29%
EOG Resources EOG NYSE Energy Integrated Oil & Gas Companies USD 75.92 44 B -33.0% 35%   0% -43%
Equifax EFX NYSE Finance Financial Database Services USD 143.74 17 B 9.2% 27%   0% -35%
Equinix Inc. EQIX NASDAQ Real Estate REITs Other Specialized Trusts USD 551.81 46 B 27.9% 23%   0% -24%
Essex Property Trust ESS NYSE Real Estate REITs & Diversified Real Estate USD 314.72 21 B 32.5% 18%   0% -11%
Estee Lauder Companies EL NYSE Consumer Non-Durables Cosmetics & Personal Care USD 179.22 65 B 33.1% 28%   0% -20%
Expedia Inc. EXPE NASDAQ Services On-line Content Services USD 128.60 19 B -0.9% 22%   0% -19%
Expeditors International of Washington Inc EXPD NASDAQ Transportation Logistics Services USD 71.43 12 B -2.2% 23%   0% -18%
Extra Space Storage Inc EXR NYSE Real Estate REITs & Diversified Real Estate USD 120.62 15 B 30.4% 18%   0% -12%
F5 Networks FFIV NASDAQ Technology Information Systems & Network Software USD 128.74 7.7 B -28.7% 28%   0% -37%
Facebook FB NASDAQ Services On-line Content Services USD 183.70 524 B 5.7% 33%   0% -30%
Fastenal Company FAST NASDAQ Services Business to Business Distributor USD 29.98 17 B 3.6% 26%   0% -20%
Federal Realty Investment Trust FRT NYSE Real Estate REITs & Diversified Real Estate USD 130.65 10 B 4.2% 18%   0% -15%
FedEx FDX NYSE Transportation Air Freight/Delivery Services USD 156.00 41 B -35.8% 31%   0% -40%
Fidelity National Information Services FIS NYSE Services Design Engng, Supply Chain & IT Services USD 138.31 45 B 30.4% 21%   0% -13%
FirstEnergy FE NYSE Utilities Electric Utilities & Grid USD 44.68 24 B 23.8% 17%   0% -10%
Fiserv Inc. FISV NASDAQ Finance Financial Data Processing USD 107.26 42 B 35.0% 25%   0% -16%
FLIR Systems FLIR NASDAQ Technology Imagining Systems USD 46.98 6.4 B -20.8% 28%   0% -35%
FMC Corp. FMC NYSE Industrial Goods Chemicals - Specialties USD 85.59 11 B 3.0% 30%   0% -24%
Fortive FTV NYSE Industrial Goods Precision, Measurement & Processing USD 68.93 23 B -13.8% 23%   0% -27%
Fortune Brands Home & Security FBHS NYSE Industrial Goods Construction Materials, Products & Services USD 50.52 7.1 B -6.5% 30%   0% -36%
Garmin Ltd. GRMN NASDAQ Technology Internet & Mobile Services USD 77.17 15 B 21.4% 25%   0% -15%
Gartner IT NYSE Services General Business Services USD 129.29 12 B -9.7% 30%   0% -26%
General Dynamics Corp. GD NYSE Industrial Goods Aerospace/Defense - Major Diversified USD 184.35 53 B -2.8% 23%   0% -28%
General Mills GIS NYSE Consumer Non-Durables Food - Major Diversified USD 55.02 33 B 20.7% 23%   0% -23%
Gilead Sciences Inc. GILD NASDAQ Health Care Biopharmaceuticals USD 63.14 80 B -10.1% 24%   0% -23%
Global Payments GPN NYSE Finance Financial Transaction Services USD 157.75 25 B 33.0% 26%   1% -26%
H&R Block HRB NYSE Finance Finance Consumer Services USD 27.52 5.6 B 8.0% 25%   0% -18%
Hanesbrands Inc. HBI NYSE Consumer Non-Durables Apparel, Footwear & Accessories - Major USD 13.62 4.9 B -22.7% 39%   0% -39%
Harris Corp. HRS NYSE Technology Information Systems & Network Software USD 189.13 22 B 16.5% 27%   0% -27%
Hasbro Inc. HAS NASDAQ Consumer Non-Durables Recreational Goods / Pet Foods / Toys USD 114.37 14 B 18.7% 29%   0% -29%
HCA Healthcare HCA NYSE Health Care Hospital/Nursing Homes USD 123.93 42 B -4.7% 29%   0% -23%
Hershey Foods Corp. HSY NYSE Consumer Non-Durables Specialty Foods USD 155.44 32 B 56.0% 17%   0% -6%
Hess Corp. HES NYSE Energy Crude Oil & Natural Gas USD 59.82 18 B -2.5% 39%   0% -51%
Hilton Worldwide Holdings HLT NYSE Services Hotels, Restaurants, Fast-Food & Resorts USD 93.01 27 B 21.3% 26%   0% -22%
Hologic Inc. HOLX NASDAQ Health Care Specialized Medical Devices USD 50.45 14 B 31.6% 23%   0% -16%
Home Depot HD NYSE Services Home Improvement Stores USD 203.65 224 B 6.6% 21%   0% -26%
Honeywell International Inc. HON NYSE Conglomerates Industrial Conglomerates USD 165.03 119 B 12.6% 19%   0% -25%
Huntington Ingalls Industries HII NYSE Industrial Goods Shipbuilding USD 206.82 8.5 B -15.0% 27%   0% -32%
IDEXX Laboratories Inc. IDXX NASDAQ Health Care Veterinary Services USD 275.41 24 B 13.1% 28%   1% -31%
Illinois Tool Works Inc. ITW NYSE Technology Semiconductors - Broad Line USD 150.22 49 B 10.6% 24%   0% -20%
Illumina ILMN NASDAQ Health Care Gene Editing - Cell Therapies USD 286.17 42 B -12.2% 39%   0% -26%
Incyte Corporation INCY NASDAQ Health Care Drug Manufacturers -Specialty Pharma USD 83.12 18 B 20.8% 36%   0% -21%
Ingersoll-Rand IR NYSE Consumer Durables Auto Parts & Tires USD 117.88 28 B 20.2% 22%   0% -18%
Intel Corporation INTC NASDAQ Technology Semiconductors - Broad Line USD 46.50 206 B 1.4% 31%   0% -26%
IntercontinentalExchange ICE NYSE Finance Investment Bankers/Brokers/Service USD 91.67 52 B 25.2% 18%   0% -14%
International Flavors & Fragrances IFF NYSE Industrial Goods Chemicals - Specialties USD 112.78 12 B -12.5% 29%   0% -27%
Intuit Inc. INTU NASDAQ Technology Software - Prepackaged USD 270.96 70 B 31.2% 30%   1% -21%
Intuitive Surgical Inc. ISRG NASDAQ Health Care Specialized Medical Devices USD 495.45 57 B -5.6% 34%   1% -24%
IQVIA Holdings IQV NYSE Health Care Health Care Information Technology USD 155.21 30 B 29.0% 26%   1% -19%
Iron Mountain IRM NYSE Real Estate REITs Other Specialized Trusts USD 31.49 9.0 B -7.0% 25%   0% -21%
J.B. Hunt Transport Services Inc. JBHT NASDAQ Transportation Trucking Freight/Courier Services USD 98.02 11 B -19.0% 28%   0% -33%
Johnson & Johnson JNJ NYSE Health Care Drug Manufacturers - Diversified USD 131.36 347 B 0.4% 19%   0% -17%
Kansas City Southern KSU NYSE Transportation Railroad Freight Services USD 120.07 12 B 5.3% 26%   0% -24%
Kellogg Company K NYSE Consumer Non-Durables Packaged Foods USD 63.78 22 B -10.3% 25%   0% -30%
Kimberly-Clark Corp. KMB NYSE Consumer Non-Durables Cosmetics & Personal Care USD 140.72 48 B 21.1% 21%   0% -14%
KLA-Tencor KLAC NASDAQ Technology Semiconductors – Metrology & TestEquipt USD 136.12 22 B 23.8% 35%   1% -32%
Laboratory Corporation Of America LH NYSE Health Care Diagnostics USD 166.15 16 B -8.8% 25%   0% -34%
Lam Research Corporation LRCX NASDAQ Technology Semiconductors – CapitalEqupt USD 205.11 31 B 23.3% 38%   1% -30%
Lennar Corp. LEN NYSE Industrial Goods General Contractors - Home&Office USD 49.25 16 B -2.3% 31%   0% -29%
LKQ Corporation LKQ NASDAQ Consumer Durables Auto Parts & Tires USD 25.57 8.0 B -22.9% 26%   0% -34%
Lockheed Martin Corp. LMT NYSE Industrial Goods Aerospace/Defense - Major Diversified USD 377.00 107 B 18.6% 22%   0% -30%
Lowe's Companies LOW NYSE Services Home Improvement Stores USD 93.92 74 B -2.1% 28%   0% -26%
Marriot International MAR NASDAQ Services Hotels, Restaurants, Fast-Food & Resorts USD 128.82 42 B 5.4% 27%   0% -24%
Marsh & McLennan Companies MMC NYSE Finance Specialty Insurers & Brokers USD 97.78 50 B 18.4% 19%   0% -15%
Martin Marietta Materials MLM NYSE Industrial Goods Cement & Aggregates USD 254.84 16 B 26.5% 28%   0% -26%
Masco Corp. MAS NYSE Agriculture Forestry & Lumber Products USD 38.46 11 B 0.5% 30%   0% -30%
Mastercard Inc. MA NYSE Finance Financial Transaction Services USD 274.36 281 B 35.6% 28%   1% -22%
Mattel Inc. MAT NASDAQ Consumer Non-Durables Recreational Goods / Pet Foods / Toys USD 10.73 3.7 B -29.9% 54%   0% -43%
McCormick MKC NYSE Consumer Non-Durables Packaged Foods USD 169.94 22 B 36.2% 21%   0% -22%
McDonald's Corp. MCD NYSE Services Hotels, Restaurants, Fast-Food & Resorts USD 218.47 167 B 38.4% 16%   0% -10%
Medtronic MDT NYSE Health Care Specialized Medical Devices USD 102.76 138 B 15.7% 19%   0% -17%
Merck & Company MRK NYSE Health Care Drug Manufacturers - Diversified USD 85.06 219 B 26.3% 19%   0% -12%
Mettler-Toledo International MTD NYSE Industrial Goods Precision, Measurement & Processing USD 665.19 16 B 17.8% 26%   0% -24%
MGM Resorts International MGM NYSE Services Gaming Activities USD 28.31 15 B 0.9% 34%   1% -26%
Microchip Technology MCHP NASDAQ Technology Semiconductors - Signal Processing USD 88.38 21 B 8.2% 37%   1% -31%
Micron Technology MU NASDAQ Technology Semiconductors - Specialized USD 43.55 48 B -7.6% 48%   1% -45%
Microsoft MSFT NASDAQ Technology Information Systems & Network Software USD 136.13 1,043 B 28.2% 27%   1% -19%
Mohawk Industries MHK NYSE Consumer Durables Furniture & Home Furnishings USD 111.34 8.1 B -41.4% 43%   0% -44%
Monster Beverage Corp MNST NASDAQ Consumer Non-Durables Beverages - Coffee, Tea & Soft Drinks USD 57.18 31 B -8.0% 30%   0% -23%
Moody's Corp. MCO NYSE Finance Financial Database Services USD 214.29 41 B 26.0% 26%   1% -29%
Motorola MSI NYSE Technology Computer Network Equipt & Service USD 173.32 29 B 42.7% 25%   0% -19%
NetApp NTAP NASDAQ Technology SaaS / Cloud Storage USD 46.76 11 B -40.3% 43%   0% -49%
Netflix NFLX NASDAQ Technology Internet - Content Delivery USD 302.80 133 B -4.4% 44%   1% -39%
NextEra Energy NEE NYSE Utilities Renewable Energy Generation USD 217.53 104 B 26.9% 16%   0% -8%
Nike NKE NYSE Consumer Non-Durables Apparel, Footwear & Accessories - Major USD 80.28 126 B 1.7% 27%   0% -21%
Norfolk Southern Corp. NSC NYSE Transportation Railroad Freight Services USD 173.00 46 B 1.4% 27%   0% -25%
Northern Trust NTRS NASDAQ Finance Trust Banks USD 87.00 19 B -17.1% 25%   0% -29%
Northrop Grumman Corp. NOC NYSE Industrial Goods Aerospace/Defense - Engineered Systems USD 367.91 62 B 26.6% 26%   0% -29%
Norwegian Cruise Line Holdings NCLH NYSE Services Cruise Tourism USD 50.48 11 B -3.8% 29%   0% -32%
NRG Energy NRG NYSE Utilities Electric Utilities & Grid USD 35.47 9.5 B 4.8% 25%   0% -23%
NVIDIA NVDA NASDAQ Technology Semiconductors - IC Design (fabless) USD 159.56 97 B -34.6% 54%   0% -56%
O'Reilly Automotive Inc. ORLY NASDAQ Services Automotive Aftermarket USD 381.64 30 B 15.7% 23%   0% -14%
Oracle ORCL NYSE Technology Software - Business Applications USD 53.59 183 B 12.6% 22%   0% -18%
Packaging Corporation Of America PKG NYSE Industrial Goods Packaging - Paper Products USD 101.28 10 B -6.4% 29%   0% -34%
Parker-Hannifin Corp. PH NYSE Industrial Goods Engineered Industrial Products USD 161.82 21 B -2.7% 27%   0% -26%
Paychex PAYX NASDAQ Services Human Resources Staffing USD 81.47 29 B 15.9% 19%   0% -18%
PayPal Holdings PYPL NASDAQ Finance Financial Transaction Services USD 106.16 125 B 24.2% 32%   1% -15%
Pepsi Cola PEP NASDAQ Consumer Non-Durables Beverages - Coffee, Tea & Soft Drinks USD 131.76 184 B 17.9% 17%   0% -13%
Perkinelmer PKI NYSE Health Care Lab Analytical Instruments USD 82.34 9.1 B -3.2% 29%   0% -26%
Perrigo Co PRGO NYSE Health Care Drug Manufacturers - Generic USD 46.18 6.3 B -35.6% 51%   0% -53%
Pfizer PFE NYSE Health Care Drug Manufacturers - Diversified USD 34.65 193 B -14.3% 21%   0% -26%
Philip Morris International Inc PM NYSE Consumer Non-Durables Tobacco Products USD 84.91 132 B 5.2% 25%   0% -27%
PPG Industries PPG NYSE Industrial Goods Chemicals - Specialties USD 110.72 26 B 3.9% 24%   0% -18%
Principal Financial Group Inc PFG NASDAQ Finance Life Insurance USD 53.29 15 B -0.4% 28%   0% -32%
Procter & Gamble Company PG NYSE Consumer Non-Durables Cosmetics & Personal Care USD 119.18 299 B 45.9% 19%   0% -10%
Prologis PLD NYSE Real Estate REITs & Industrial / Office Real Estate USD 82.39 52 B 25.2% 21%   0% -19%
Public Storage PSA NYSE Real Estate REITs & Diversified Real Estate USD 258.78 45 B 19.3% 18%   0% -13%
PulteGroup PHM NYSE Industrial Goods General Contractors - Home&Office USD 32.07 8.8 B 15.7% 30%   0% -30%
Qorvo QRVO NASDAQ Technology Semiconductors - Signal Processing USD 71.61 8.4 B -12.1% 38%   0% -32%
Qualcomm QCOM NASDAQ Technology Semiconductors - IC Design (fabless) USD 73.28 89 B 14.7% 39%   0% -34%
Raymond James Financial RJF NYSE Finance Investment Bankers/Brokers/Service USD 75.75 11 B -15.7% 27%   0% -27%
Raytheon Company RTN NYSE Industrial Goods Aerospace/Defense - Engineered Systems USD 178.19 50 B -8.7% 24%   0% -30%
Red Hat RHT NYSE Technology Data Processing & Data Analytics (EDP) USD 187.71 33 B 33.9% 40%   0% -23%
Regeneron Pharmaceuticals Inc. REGN NASDAQ Health Care Biopharmaceuticals USD 296.85 33 B -20.7% 32%   0% -34%
Republic Services RSG NYSE Utilities Environmental Services & Waste Mngt USD 89.92 29 B 22.7% 14%   0% -11%
ResMed RMD NYSE Health Care Respiratory Disorders USD 134.44 19 B 27.3% 31%   0% -22%
Robert Half International Inc. RHI NYSE Services Human Resources Staffing USD 55.04 6.5 B -26.9% 32%   0% -33%
Rockwell Automation ROK NYSE Industrial Goods Robotics & Industrial Processes USD 150.31 18 B -11.2% 27%   0% -28%
Roper Industries ROP NYSE Industrial Goods Engines, Industrial Equipt & Cpts USD 357.41 37 B 20.6% 22%   0% -21%
Ross Stores Inc. ROST NASDAQ Services Apparel & Footwear Retail USD 103.18 38 B 13.4% 25%   0% -26%
Royal Caribbean Cruises Ltd RCL NYSE Services Cruise Tourism USD 105.18 22 B -6.7% 30%   0% -32%
S&P Global SPGI NYSE Finance Financial Database Services USD 256.68 63 B 27.4% 22%   0% -26%
Salesforce.com CRM NYSE Technology Software - Business Applications USD 143.89 112 B -0.8% 36%   1% -25%
SBA Communications Corporation SBAC NASDAQ Real Estate REITs Other Specialized Trusts USD 260.29 29 B 64.9% 19%   0% -9%
Sealed Air Corp. SEE NYSE Industrial Goods Packaging - Paper Products USD 42.38 6.5 B 10.4% 27%   0% -27%
Sherwin-Williams Company SHW NYSE Industrial Goods Chemicals - Specialties USD 530.09 49 B 20.5% 24%   0% -24%
Simon Property Group SPG NYSE Real Estate REITs & Diversified Real Estate USD 148.61 46 B -12.1% 20%   0% -22%
Skyworks Solutions Inc. SWKS NASDAQ Technology Semiconductors - Signal Processing USD 76.66 13 B -15.2% 37%   0% -35%
Southwest Airlines LUV NYSE Transportation Major Airlines USD 49.79 27 B -15.5% 27%   0% -30%
Stanley Black & Decker Inc SWK NYSE Industrial Goods Electrical Power Systems & Automation USD 133.82 20 B -3.5% 34%   0% -30%
Starbucks Corporation SBUX NASDAQ Services Hotels, Restaurants, Fast-Food & Resorts USD 96.52 117 B 82.9% 22%   0% -12%
Stryker Corp. SYK NYSE Health Care Specialized Medical Devices USD 217.00 81 B 28.9% 23%   0% -19%
Symantec SYMC NASDAQ Technology Security Platforms & Software USD 23.51 15 B 22.4% 41%   1% -27%
Synopsys Inc. SNPS NASDAQ Technology Software - Professional Design USD 128.98 19 B 38.2% 27%   1% -23%
T. Rowe Price Group Inc. TROW NASDAQ Finance Investment Bankers/Brokers/Service USD 107.37 25 B -4.6% 26%   0% -27%
Tapestry, Inc TPR NYSE Consumer Durables Luxury Brands USD 19.96 5.8 B -58.5% 45%   0% -63%
TE Connectivity TEL NYSE Industrial Goods Robotics & Industrial Processes USD 89.99 30 B -1.3% 25%   0% -25%
Texas Instruments TXN NASDAQ Technology Semiconductors - Broad Line USD 122.82 115 B 14.8% 31%   1% -24%
The Charles Schwab Corp. SCHW NYSE Finance Investment Bankers/Brokers/Service USD 37.14 49 B -25.8% 28%   0% -30%
The Clorox Company CLX NYSE Consumer Non-Durables Household Products USD 160.90 20 B 11.7% 22%   0% -13%
The NASDAQ OMX Group Inc. NDAQ NASDAQ Finance Finance Business Services USD 97.53 16 B 6.7% 20%   0% -21%
The Progressive Corporation PGR NYSE Finance Property & Casualty Insurance USD 77.49 45 B 21.0% 25%   0% -22%
Thermo Fisher Scientific TMO NYSE Health Care Lab Analytical Instruments USD 276.15 110 B 20.4% 23%   0% -17%
Tiffany & Co. TIF NYSE Services Luxury Retailers USD 80.80 10 B -35.4% 32%   0% -44%
TJX Companies TJX NYSE Services Apparel & Footwear Retail USD 51.39 62 B 4.1% 22%   0% -26%
Torchmark Corp. TMK NYSE Finance Life Insurance USD 88.10 10 B 0.7% 19%   0% -21%
Total System Services TSS NYSE Finance Financial Transaction Services USD 127.35 23 B 34.8% 27%   1% -24%
Tractor Supply Company TSCO NASDAQ Services Other Specialty Retail Stores USD 100.55 12 B 26.5% 26%   0% -19%
TransDigm Group TDG NYSE Industrial Goods Aerospace/Defense - Engineered Systems USD 530.10 28 B 58.4% 30%   1% -16%
TripAdvisor Inc TRIP NASDAQ Services On-line Content Services USD 37.99 5.3 B -29.1% 40%   0% -43%
Ulta Salon Cosmetics & Fragrance Inc. ULTA NASDAQ Services Other Specialty Retail Stores USD 322.03 19 B 37.0% 32%   0% -27%
Union Pacific Corp. UNP NYSE Transportation Railroad Freight Services USD 166.25 118 B 13.5% 26%   0% -22%
United Dominion Realty Trust UDR NYSE Real Estate REITs & Diversified Real Estate USD 46.98 13 B 21.3% 18%   0% -11%
United Health UNH NYSE Health Care Health Care Benefits & Insurance USD 245.69 233 B -4.9% 25%   0% -24%
United Parcel Service Inc. UPS NYSE Transportation Logistics Services USD 115.30 99 B -1.5% 27%   0% -28%
United Rentals URI NYSE Services Rental & Leasing Services USD 107.99 8.6 B -28.3% 45%   0%