Fund comparison · from official SEC filings
IDRV vs IEMG: how much do they overlap?
iShares Self-Driving EV and Tech ETF and iShares Core MSCI Emerging Markets ETF
Holdings overlap6%of assets, by weight Shared positions27of 74 / 2,700 holdings IDRV expense ratio0.48%net, per year IEMG expense ratio0.09%net, per year Shared holdings
B
BISXXBCF INSTITUTIONAL-SL AGNCY
11.29%
5.03%
0
006400SAMSUNG SDI CO LTD
7.31%
0.18%
C
CTATFCONTEMPORARY AMPEREX TECHN-H
3.50%
0.11%
3
373220LG ENERGY SOLUTION
3.50%
0.09%
0
012330HYUNDAI MOBIS CO LTD
3.47%
0.19%
B
BYDDFBYD CO LTD-H
3.37%
0.28%
0
051910LG CHEM LTD
3.37%
0.08%
N
NIOIFNIO INC-CLASS A
3.27%
0.07%
L
LAAOFLI AUTO INC-CLASS A
3.17%
0.06%
X
XPNGFXPENG INC - CLASS A SHARES
2.58%
0.07%
G
GNENFGANFENG LITHIUM GROUP CO L-H
1.74%
0.03%
Z
ZJLMFZHEJIANG LEAPMOTOR TECHNOL-H
1.40%
0.02%
H
HSIGFHESAI GROUP
0.83%
0.02%
H
HBLENGINHBL ENGINEERING LTD
0.71%
0.01%
R
RBSTFROBOSENSE TECHNOLOGY CO LTD
0.43%
0.01%
X
XTSLABLCKRCK CASH-TRSRY-SL AGNCY
0.04%
0.43%
6
6781ADVANCED ENERGY SOLUTION HOL
0.38%
0.01%
T
TIANFTIANNENG POWER INTL LTD
0.17%
0.00%
0
004490SEBANG GLOBAL BATTERY CO LTD
0.09%
0.00%
?
—HONG KONG DOLLAR
0.05%
0.01%
?
—MEXICAN NUEVO PESO
0.00%
0.02%
?
—NEW TAIWAN DOLLAR
0.00%
0.01%
?
—Canadian Dollar
0.00%
0.00%
Only in IDRV
A
ALBALBEMARLE CORP
5.07%
P
PILBFPLS GROUP LTD
4.64%
A
ABLZFABB LTD-REG
4.11%
R
RIVNRIVIAN AUTOMOTIVE INC-A
2.95%
T
TSLATESLA INC
2.71%
V
VLKPFVOLKSWAGEN AG-PREF
2.63%
A
ALVAUTOLIV INC
2.54%
C
CTTAFCONTINENTAL AG
2.36%
R
RNSDFRENAULT SA
2.21%
A
AURAURORA INNOVATION INC
1.99%
L
LEALEAR CORP
1.90%
P
POAHFPORSCHE AUTOMOBIL HLDG-PRF
1.87%
G
GNTXGENTEX CORP
1.46%
G
GYUAFGS YUASA CORP
1.25%
L
LINRFLIONTOWN LTD
1.15%
Q
QSQUANTUMSCAPE CORP
1.10%
V
VCVISTEON CORP
0.87%
A
AMPXAMPRIUS TECHNOLOGIES INC
0.78%
W
WRDIFWERIDE INC-CL A
0.68%
B
BLBDBLUE BIRD CORP
0.67%
A
AMVIFAUMOVIO SE
0.65%
N
NFYEFNFI GROUP INC
0.63%
3
3931CALB GROUP CO LTD-H
0.59%
F
FURCFFORVIA
0.53%
S
SYAXFELEVRA LITHIUM LTD
0.50%
Only in IEMG
T
TSMWFTAIWAN SEMICONDUCTOR MANUFAC
11.83%
S
SSNLFSAMSUNG ELECTRONICS CO LTD
6.45%
0
000660SK HYNIX INC
5.51%
T
TCTZFTENCENT HOLDINGS LTD
2.25%
B
BABAFALIBABA GROUP HOLDING LTD
1.73%
2
2454MEDIATEK INC
1.34%
2
2308DELTA ELECTRONICS INC
0.97%
H
HNHAFHON HAI PRECISION INDUSTRY
0.74%
0
005935SAMSUNG ELECTRONICS-PREF
0.70%
C
CICHFCHINA CONSTRUCTION BANK-H
0.68%
H
HDFCBHDFC BANK LIMITED
0.58%
R
RELIANCERELIANCE INDUSTRIES LIMITED
0.55%
0
009150SAMSUNG ELECTRO-MECHANICS CO
0.51%
4
402340SK SQUARE CO LTD
0.50%
I
ICICIBCICICI BANK LTD
0.45%
H
HYMLFHYUNDAI MOTOR CO
0.41%
3
3711ASE TECHNOLOGY HOLDING CO LT
0.41%
X
XIACFXIAOMI CORP-CLASS B
0.40%
P
PDDPDD HOLDINGS INC
0.39%
V
VALE3VALE SA
0.38%
I
IDCBFIND & COMM BK OF CHINA-H
0.36%
R
RJHIAL RAJHI BANK
0.34%
P
PIAIFPING AN INSURANCE GROUP CO-H
0.33%
2
2303UNITED MICROELECTRONICS CORP
0.33%
2
2383ELITE MATERIAL CO LTD
0.32%
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Data source: official SEC Form N-PORT filings from each fund. Fund holdings are disclosed quarterly and may reflect a 60-day reporting delay.
Informational and educational only — not investment advice.