ISINIE00BDDRF478
Stock Name/CompanyiShares S&P 500 Communication Sector UCITS ETF USD (Acc)
Stock TypeETF
Country of IssueUK
Umbrella EntityiShares V Public Limited Company
Umbrella Legal Indentifier (LEI)549300QETNU1W5JY7Z94
Ticker SymbolIUCM (USD) - LSE
IU5C (EUR) - F
IUCM.LS (USD) - CXE
IUCM.L (GBP) - LSE

iShares S&P 500 Communication Sector UCITS ETF USD Acc

iShares S&P 500 Communication Sector UCITS ETF USD Acc is an Equity ETF domiciled in Ireland with an ISIN of IE00BDDRF478. The ETF is a fund of iShares V Public Limited Company managed by BlackRock Asset Management Ireland Limited. The Equity is USD currency-based and adopts a Replicated approach of tracking the S&P 500 Capped 35/20 Communication Services Index index. The ETF structure is based on Physical assets. Income received by the ETF eg dividend follows an Accumulating strategy. The ETF fund custodian is State Street Custodial Services (Ireland) Limited, and the administrator is State Street Fund Services (Ireland) Limited. The primary ticker for the ETF is IUCM.

Consecutive Days Analysis for IUCM.L

This is analysis over the past year of whether the share price of IUCM.L is rising or falling between the closing price and the previous closing price and the liklihood of how many consecutive days it will rise/fall before breaking the run. Note the opening price may be lower than the previous closing price

Consecutive days rising

Number of rising days Percentage
1 29%
2 32%
3 25%
5 4%
6 7%
8 4%

Consecutive days falling

Number of falling days Percentage
1 58%
2 25%
4 13%
5 4%
This is the liklihood of the absolute increase in the share price
Swing Polarity Average cummulative swing
Positive (rising price) 0.07
Negative (falling price) -0.09
This is the average of the swing (rise or fall over consecutive days) before the run is broken
Probability information is derived from historic data. Past performance is not a guide to future performance, nor a reliable indicator of future results or performance. Gain/Loss based on adjusted close and previous adjusted close

IE00BDDRF478 ETF holdings on 2025-04-17 (Thursday)

ETF TickerAdjusted Close PriceOpening Price to prev closeNAVComment
IUCM.L10.3220.0%10.4200.9% Data not available
Holding TickerNumber of Shares HeldValue of Shares HeldShare Price (delta previous report)Comment
GOOGL (Alphabet Inc Class A) 441,985 USD 66,810,453GOOGL value decreased by -959107-1.4%USD 151.16GOOGL unit share price decreased by -2.17-1.4%
NFLX (Netflix Inc) 65,188 USD 63,429,880NFLX value increased by 7431441.2%USD 973.03NFLX unit share price increased by 11.41.2%
META (WISETCMETAIMETFP) 123,970 USD 62,168,476META value decreased by -102895-0.2%USD 501.48META unit share price decreased by -0.82999999999998-0.2%
GOOG (LEVERAGE SHARES PUBLIC LIMITED CO. 1X GOOG) 358,253 USD 54,941,680GOOG value decreased by -766662-1.4%USD 153.36GOOG unit share price decreased by -2.14-1.4%
GOOG (1X GOOG) 358,253 USD 54,941,680GOOG value decreased by -766662-1.4%USD 153.36GOOG unit share price decreased by -2.14-1.4%
T (AT&T Inc) 1,093,958 USD 29,700,960T value increased by 1422150.5%USD 27.15T unit share price increased by 0.130.5%
VZ (Verizon Communications Inc) 641,552 USD 28,253,950VZ value increased by 2758671.0%USD 44.04VZ unit share price increased by 0.431.0%
DIS (Distil Plc) 275,519 USD 23,366,766DIS value increased by 5620582.5%USD 84.81DIS unit share price increased by 2.042.5%
CMCSA (Comcast Corp) 574,971 USD 19,554,764CMCSA value increased by 2644871.4%USD 34.01CMCSA unit share price increased by 0.461.4%
TMUS (T-Mobile US Inc) 73,108 USD 19,157,220TMUS value increased by 1754590.9%USD 262.04TMUS unit share price increased by 2.40.9%
TTWO (Take-Two Interactive Software Inc) 25,016 USD 5,322,654TTWO value increased by 342720.6%USD 212.77TTWO unit share price increased by 1.370.6%
EA (Electronic Arts Inc) 36,145 USD 5,263,073EA value increased by 954221.8%USD 145.61EA unit share price increased by 2.641.8%
CHTR (Charter Communications Inc) 14,713 USD 4,987,118CHTR value increased by 950451.9%USD 338.96CHTR unit share price increased by 6.461.9%
LYV (Live Nation Entertainment Inc) 23,903 USD 3,040,940LYV value increased by 420701.4%USD 127.22LYV unit share price increased by 1.761.4%
LYV (Lundin Energy AB (publ)) 23,903 USD 3,040,940LYV value increased by 420701.4%USD 127.22LYV unit share price increased by 1.761.4%
WBD (Warner Bros Discovery Inc) 340,192 USD 2,758,957WBD value increased by 646362.4%USD 8.11WBD unit share price increased by 0.192.4%
OMC (Omnicom Group Inc) 29,939 USD 2,192,732OMC value increased by 598782.8%USD 73.24OMC unit share price increased by 22.8%
FOXA (Fox Corp Class A) 33,213 USD 1,593,228FOXA value decreased by -9631-0.6%USD 47.97FOXA unit share price decreased by -0.29-0.6%
TKO (Taseko Mines Limited) 10,143 USD 1,513,538TKO value increased by 127800.9%USD 149.22TKO unit share price increased by 1.260.9%
NWSA (News Corp A) 57,620 USD 1,490,053NWSA value increased by 109480.7%USD 25.86NWSA unit share price increased by 0.190.7%
IPG (The Interpublic Group of Companies Inc) 56,762 USD 1,358,882IPG value increased by 380302.9%USD 23.94IPG unit share price increased by 0.672.9%
MTCH (Match Group Inc) 38,266 USD 1,110,479MTCH value increased by 141581.3%USD 29.02MTCH unit share price increased by 0.371.3%
PARA (Paramount Global Class B) 90,694 USD 992,192PARA value increased by 208592.1%USD 10.94PARA unit share price increased by 0.232.1%
FOX (Fox Corp Class B) 20,097 USD 895,723FOX value decreased by -2613-0.3%USD 44.57FOX unit share price decreased by -0.13-0.3%
NWS (News Corp B) 17,028 USD 510,840NWS value increased by 42570.8%USD 30NWS unit share price increased by 0.250.8%
NWS (NWS Holdings Limited) 17,028 USD 510,840NWS value increased by 42570.8%USD 30NWS unit share price increased by 0.250.8%
Share price and value of shares held is calculated on the adjusted close price on 2025-04-17

IE00BDDRF478 ETF holdings on 2025-04-16 (Wednesday)

ETF TickerAdjusted Close PriceOpening Price to prev closeNAVComment
IUCM.L10.4771.5%10.4221.0% Data not available
Holding TickerNumber of Shares HeldValue of Shares HeldShare Price (delta previous report)Comment
GOOGL (Alphabet Inc Class A) 441,985 USD 67,769,560GOOGL value decreased by -1317115-1.9%USD 153.33GOOGL unit share price decreased by -2.98-1.9%
NFLX (Netflix Inc) 65,188 USD 62,686,736NFLX value decreased by -955005-1.5%USD 961.63NFLX unit share price decreased by -14.65-1.5%
META (WISETCMETAIMETFP) 123,970 USD 62,271,371META value decreased by -2381463-3.7%USD 502.31META unit share price decreased by -19.21-3.7%
GOOG (LEVERAGE SHARES PUBLIC LIMITED CO. 1X GOOG) 358,253 USD 55,708,342GOOG value decreased by -1139244-2.0%USD 155.5GOOG unit share price decreased by -3.18-2.0%
GOOG (1X GOOG) 358,253 USD 55,708,342GOOG value decreased by -1139244-2.0%USD 155.5GOOG unit share price decreased by -3.18-2.0%
T (AT&T Inc) 1,093,958 USD 29,558,745T value decreased by -525100-1.7%USD 27.02T unit share price decreased by -0.48-1.7%
VZ (Verizon Communications Inc) 641,552 USD 27,978,083VZ value decreased by -558150-2.0%USD 43.61VZ unit share price decreased by -0.87-2.0%
DIS (Distil Plc) 275,519 USD 22,804,708DIS value decreased by -617162-2.6%USD 82.77DIS unit share price decreased by -2.24-2.6%
CMCSA (Comcast Corp) 574,971 USD 19,290,277CMCSA value decreased by -488725-2.5%USD 33.55CMCSA unit share price decreased by -0.85-2.5%
TMUS (T-Mobile US Inc) 73,108 USD 18,981,761TMUS value decreased by -516874-2.7%USD 259.64TMUS unit share price decreased by -7.07-2.7%
TTWO (Take-Two Interactive Software Inc) 25,016 USD 5,288,382TTWO value decreased by -80052-1.5%USD 211.4TTWO unit share price decreased by -3.2-1.5%
EA (Electronic Arts Inc) 36,145 USD 5,167,651EA value decreased by -95422-1.8%USD 142.97EA unit share price decreased by -2.64-1.8%
CHTR (Charter Communications Inc) 14,713 USD 4,892,073CHTR value decreased by -157134-3.1%USD 332.5CHTR unit share price decreased by -10.68-3.1%
LYV (Live Nation Entertainment Inc) 23,903 USD 2,998,870LYV value decreased by -84139-2.7%USD 125.46LYV unit share price decreased by -3.52-2.7%
LYV (Lundin Energy AB (publ)) 23,903 USD 2,998,870LYV value decreased by -84139-2.7%USD 125.46LYV unit share price decreased by -3.52-2.7%
WBD (Warner Bros Discovery Inc) 340,192 USD 2,694,321WBD value decreased by -112263-4.0%USD 7.92WBD unit share price decreased by -0.33-4.0%
OMC (Omnicom Group Inc) 29,939 USD 2,132,854OMC value decreased by -167359-7.3%USD 71.24OMC unit share price decreased by -5.59-7.3%
FOXA (Fox Corp Class A) 33,213 USD 1,602,859FOXA value decreased by -59784-3.6%USD 48.26FOXA unit share price decreased by -1.8-3.6%
TKO (Taseko Mines Limited) 10,143 USD 1,500,758TKO value decreased by -17142-1.1%USD 147.96TKO unit share price decreased by -1.69-1.1%
NWSA (News Corp A) 57,620 USD 1,479,105NWSA value decreased by -40911-2.7%USD 25.67NWSA unit share price decreased by -0.71-2.7%
IPG (The Interpublic Group of Companies Inc) 56,762 USD 1,320,852IPG value decreased by -106145-7.4%USD 23.27IPG unit share price decreased by -1.87-7.4%
MTCH (Match Group Inc) 38,266 USD 1,096,321MTCH value decreased by -16454-1.5%USD 28.65MTCH unit share price decreased by -0.43-1.5%
PARA (Paramount Global Class B) 90,694 USD 971,333PARA value decreased by -13604-1.4%USD 10.71PARA unit share price decreased by -0.15-1.4%
FOX (Fox Corp Class B) 20,097 USD 898,336FOX value decreased by -32959-3.5%USD 44.7FOX unit share price decreased by -1.64-3.5%
NWS (News Corp B) 17,028 USD 506,583NWS value decreased by -13112-2.5%USD 29.75NWS unit share price decreased by -0.77-2.5%
NWS (NWS Holdings Limited) 17,028 USD 506,583NWS value decreased by -13112-2.5%USD 29.75NWS unit share price decreased by -0.77-2.5%
Share price and value of shares held is calculated on the adjusted close price on 2025-04-16

Detail on historic holdings of IE00BDDRF478

Shares Issued in IUCM

DateShares IssuedNum New IUCM SharesNAV Market value of new IUCM shares issuedValue of shares added to portfolio holdings Cash or Equivalent
2025-04-17 39,000,000 0 @ 0.000 USD 10.31 USD 0 USD 0 USD 1,037,603
GBP 16,819
EUR 530
2025-04-16 39,000,000 0 @ 0.000 USD 10.29 USD 0 USD 0 USD 1,028,875
GBP 16,847
EUR 532
2025-04-15 39,000,000 0 @ 0.000 USD 10.53 USD 0 USD 0 USD 1,073,443
GBP 16,834
EUR 529
2025-04-14 39,000,000 0 @ 0.000 USD 10.52 USD 0 USD 0 USD 1,074,358
GBP 16,760
EUR 531
2025-04-11 39,000,000 250,000 @ 0.000 USD 10.45 USD 0 USD 0 USD 1,065,272
GBP 16,596
EUR 530
2025-04-10 38,750,000 0 @ 0.000 USD 10.34 USD 0 USD 2,574,178 USD 1,203,718
GBP 16,473
EUR 523
2025-04-09 38,750,000 0 @ 0.000 USD 10.7 USD 0 USD 0 USD 520,251
GBP 16,213
EUR 516
2025-04-08 38,750,000 -250,000 @ 0.000 USD 9.84 USD 0 USD 0 USD 440,637
GBP 16,213
EUR 510
2025-04-07 39,000,000 -500,000 @ 0.000 USD 9.96 USD 0 USD -2,483,670 USD 477,401
GBP 15,593
EUR 510
2025-04-04 39,500,000 -500,000 @ 0.000 USD 9.89 USD 0 USD -9,862,757 USD 195,450
GBP 15,819
EUR 514
2025-04-03 40,000,000 -1,000,000 @ 0.000 USD 10.44 USD 0 USD 0
2025-04-02 41,000,000 0 @ 0.000 USD 10.86 USD 0 USD -10,827,755 USD 591,412
GBP 15,850
EUR 507
2025-04-01 41,000,000 -750,000 @ 0.000 USD 10.86 USD 0 USD 0 USD 457,786
GBP 15,800
EUR 505
2025-03-31 41,750,000 0 @ 0.000 USD 10.79 USD 0 USD -8,077,526 USD 487,889
GBP 15,741
EUR 505
2025-03-28 41,750,000 0 @ 0.000 USD 10.76 USD 0 USD 0 USD 473,685
GBP 15,783
EUR 506
2025-03-27 41,750,000 0 @ 0.000 USD 11.13 USD 0 USD 0 USD 506,391
GBP 15,807
EUR 505
2025-03-26 41,750,000 0 @ 0.000 USD 11.17 USD 0 USD 0 USD 513,228
GBP 15,716
EUR 504
2025-03-25 41,750,000 250,000 @ 0.000 USD 11.35 USD 0 USD 0 USD 524,438
GBP 15,790
EUR 505
2025-03-24 41,500,000 0 @ 0.000 USD 11.19 USD 0 USD 2,791,114 USD 473,513
GBP 15,746
EUR 504
2025-03-21 41,500,000 1,000,000 @ 0.000 USD 11.02 USD 0 USD -1,136,593 USD 473,837
GBP 15,727
EUR 505
2025-03-20 40,500,000 0 @ 0.000 USD 10.92 USD 0 USD 10,886,517 USD 1,029,310
GBP 15,821
EUR 507
2025-03-19 40,500,000 0 @ 0.000 USD 10.97 USD 0 USD 0 USD 956,813
GBP 15,814
EUR 508
2025-03-18 40,500,000 0 @ 0.000 USD 10.82 USD 0 USD 0 USD 942,258
GBP 15,835
EUR 511
2025-03-17 40,500,000 0 @ 0.000 USD 11 USD 0 USD 0 USD 1,086,207
GBP 15,835
EUR 510
2025-03-14 40,500,000 250,000 @ 0.000 USD 10.93 USD 0 USD 0 USD 1,069,115
GBP 15,751
EUR 508
2025-03-13 40,250,000 0 @ 0.000 USD 10.73 USD 0 USD 2,674,144 USD 1,048,584
GBP 15,786
EUR 507
2025-03-12 40,250,000 -250,000 @ 0.000 USD 10.96 USD 0 USD 0 USD 1,014,678
GBP 15,814
EUR 510
2025-03-11 40,500,000 250,000 @ 0.000 USD 10.85 USD 0 USD 0 USD 977,335
GBP 15,789
EUR 511
2025-03-10 40,250,000 0 @ 0.000 USD 10.98 USD 0 USD 0 USD 3,850,900
GBP 15,736
EUR 506
2025-03-07 40,250,000 -500,000 @ 0.000 USD 11.3 USD 0 USD -5,634,912 USD 919,899
GBP 14,946
EUR 508
2025-03-06 40,750,000 -500,000 @ 0.000 USD 11.23 USD 0 USD 0
2025-03-05 41,250,000 0 @ 0.000 USD 11.47 USD 0 USD -5,715,563 USD 1,023,648
GBP 14,878
EUR 503
2025-03-04 41,250,000 -250,000 @ 0.000 USD 11.33 USD 0 USD 0 USD 952,736
GBP 14,707
EUR 492
2025-03-03 41,500,000 0 @ 0.000 USD 11.41 USD 0 USD -2,843,210 USD 943,991
GBP 14,689
EUR 490
2025-02-28 41,500,000 250,000 @ 0.000 USD 11.51 USD 0 USD 0 USD 961,345
GBP 14,530
EUR 486
2025-02-27 41,250,000 0 @ 0.000 USD 11.35 USD 0 USD 2,830,083 USD 926,722
GBP 14,572
EUR 487
2025-02-26 41,250,000 -250,000 @ 0.000 USD 11.52 USD 0 USD 0 USD 892,978
GBP 14,651
EUR 491
2025-02-25 41,500,000 0 @ 0.000 USD 11.54 USD 0 USD -2,876,054 USD 850,563
GBP 14,602
EUR 491
2025-02-24 41,500,000 500,000 @ 0.000 USD 11.69 USD 0 USD 0 USD 920,619
GBP 14,563
EUR 489
2025-02-21 41,000,000 0 @ 0.000 USD 11.71 USD 0 USD 5,826,809 USD 1,028,587
GBP 14,586
EUR 489
2025-02-20 41,000,000 0 @ 0.000 0 0 USD 929,941
GBP 14,586
EUR 490
2025-02-19 41,000,000 0 @ 0.000 0 0 USD 938,564
GBP 14,529
EUR 487
2025-02-18 41,000,000 0 @ 0.000 0 0 USD 938,770
GBP 14,559
EUR 489
2025-02-17 41,000,000 0 @ 0.000 0 0 USD 951,086
GBP 14,549
EUR 490
2025-02-14 41,000,000 -1,000,000 @ 0.000 0 0 USD 946,441
GBP 14,561
EUR 491
2025-01-28 42,000,000 0 @ 0.000 0 -2,916,319 USD 1,734,835
GBP 13,403
EUR 487
2025-01-27 42,000,000 0 @ 0.000 0 0 USD 1,738,838
GBP 13,448
EUR 491
2025-01-24 42,000,000 750,000 @ 0.000 0 0 USD 1,726,531
GBP 13,460
EUR 492
2025-01-23 41,250,000 250,000 @ 0.000 0 8,629,294 USD 1,674,323
GBP 13,286
EUR 486
2025-01-22 41,000,000 0 @ 0.000 0 0 USD 1,677,222
GBP 13,279
EUR 487
2025-01-21 41,000,000 0 @ 0.000 0 0 USD 1,702,730
GBP 13,260
EUR 486
0 -16,162,217
The number of shares in issued is based on the difference from the current number of shares and the last previous known number of shares and may not be the value of new issue shares on the date. Value of added shares to portfolio is based on adjusted close price x the number of new shares and may not be the price they were purchased at. The value of new ETF shares issues is based on the adjusted close price of the ET - this may not be the actual price the new issues were sold for. Cash is made up of cash deposits or equivalent eg liquidity Dollars which are part of the holdings

Disclaimer

All information is provided as is without warranty and should be used for indicative purposes only. You should independently check data before making any investment decision. This information is derived from third party sources and we cannot guarantee that their data is current, accurate, complete, free from defects etc and we therefore accept no responsibility for how it may be used. We accept no liability for the reliability or accuracy of the data provided. We are not making recommendations for any financial instruments listed on this website.