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Profile

iShares Russell 2000 ETF (IWM) ETF profile

What iShares Russell 2000 ETF tracks, how the fund trades, and how it fits against the broader market basket.

Section freshness

Prices as of Sep 21, 11:28 AM EDT

ETF profile snapshot

IWM market price, portfolio profile and key fund metrics

Start with the fund's market print, exposure profile, holdings, and issuer context before moving to technicals or options.

RealtimeRealtime regular-session pricing

$285.86

+$1.76(+0.62%)11:28 AM ET - vs previous closei

Quote as of Sep 21, 2026, 11:28 AM EDT

Realtime NYSE American quote as of Sep 21, 2026, 11:28 AM EDT.

Market data source

Today67%
$284.90L Sep 21 '26$286.33H Sep 21 '26
52-week75%
$228.90$305.18
Long-term ranges5Y, 10Y, Since first print
5Y87%
$161.67L Oct 27 '23$305.18H Aug 14 '26
10Y91%
$95.69L Mar 19 '20$305.18H Aug 14 '26
Since first print93%
$34.26L Mar 9 '09$305.18H Aug 14 '26

1Y · USD · 254 pts

$284.10

Last close · Sep 26

+20.44%Open summary
Market-data preview · Sep 25 to Sep 261-year price range
IWM one-year price chartServer-rendered SVG chart showing IWM price history.
1Y High$305.181Y Low$228.90

IWM one-year SVG chart preview from 2025-09-16 to 2026-09-18.

Live price

$285.86

Live during market hours

Net assets

$80.46B

Fund size

Expense ratio

0.19%

Annual fund cost

Business identity

iShares Russell 2000 ETF fund facts and portfolio footprint

iShares Russell 2000 ETF is tracked through live quote data, fundamentals, historical prices, analyst views, and TECHi's source-attributed stock-data layer.

Registration and filing identifiersShow
Launched
May 22, 2000
Asset type
ETF

Key metrics

IWM valuation, revenue and margin profile

Full statistics
Market cap
$78.14B
Equity scale

ETF profile and portfolio

Net assets
$80.46B
Expense ratio
0.19%
Distribution yield
0.90%
Inception date
May 22, 2000
Standard fund profile
Portfolio turnover
18.00%

Sector exposure

Healthcare20.98%
Financial Services18.06%
Technology13.79%
Industrials13.23%
Consumer Cyclical8.87%
Real Estate6.50%
Energy6.50%
Basic Materials4.46%

Top holdings

FROG

JFrog Ltd Ordinary Shares

0.35%

MOG-A

Moog Inc Class A

0.34%

XTSLA

BlackRock Cash Funds Treasury SL Agency

0.34%

UMBF

UMB Financial Corp

0.34%

GKOS

Glaukos Corp

0.33%

EAT

Brinker International Inc

0.32%

BTSG

BrightSpring Health Services Inc

0.30%

KRYS

Krystal Biotech Inc

0.30%

CYTK

Cytokinetics Inc

0.30%

ONB

Old National Bancorp

0.29%

Size & scale

Net assets
$80.46B
Shares outstanding
273.36M
Currency
USD

Frequently asked

Common questions.

Where does TECHi source the IWM fund profile?

Fund facts come from the issuer's published fund profile via TECHi's market-data providers; expense ratio, net assets, and holdings stay blank rather than estimated when the feed has not resolved.