ISINIE00BKTLJC87
Fund NameiShares Smart City Infrastructure UCITS ETF USD (Acc)
ETF TypeETF
CountryGermany
Umbrella EntityiShares IV Public Limited Company
LEI549300ZP07LMR36K1T02
Ticker SymbolAYEU (EUR) - F
AYEU.DE (EUR) - CXE
CISBz (USD) - CXE
CITY.AS (USD) - CXE
CITY.MI (EUR) - CXE
CITY.PA (EUR) - CXE
CITY (EUR) - ETF Plus
Related ETFsiShares Smart City Infrastructure UCITS ETF USD (Dist)

iShares Smart City Infrastructure UCITS ETF USD (Acc)

iShares Smart City Infrastructure UCITS ETF USD (Acc) is an Equity ETF domiciled in Ireland with an ISIN of IE00BKTLJC87. The ETF is a fund of iShares IV Public Limited Company managed by BlackRock Asset Management Ireland Limited. The Equity is USD currency-based and adopts a Optimised approach of tracking the STOXX Global Smart City Infrastructure (USD) 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 CITY.

This ETF remained unchanged recently.

Based on recent adjusted close prices. Past performance is not indicative of future results.

Discover detailed technical analysis, including moving averages, RSI, and more for iShares Smart City Infrastructure UCITS ETF USD (Acc).

Analyze CITY Trends Now

IE00BKTLJC87 Holdings on 2026-01-29 (Thursday)

ETF trades on 2026-01-29


ETF TickerAdjusted Close PriceOpening Price to Prev CloseNAVNAV Discount / PremiumComment
CITY.MIEUR 8.088Price decrease-1.0%EUR 8.152Open price decrease-0.2% USD 9.71 (EUR 8.11)NAV decrease-0.3%0.23%
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Values based on adjusted close price on 2026-01-29



IE00BKTLJC87 Holdings on 2026-01-28 (Wednesday)

ETF trades on 2026-01-28


ETF TickerAdjusted Close PriceOpening Price to Prev CloseNAVNAV Discount / PremiumComment
CITY.MIEUR 8.168Price increase0.0%EUR 8.167Open price increase0.0% USD 9.74 (EUR 8.10)NAV decrease-0.3%-0.78%Net Asset Value decreased but ETF price rose
Share price close greater than NAV so over priced
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Values based on adjusted close price on 2026-01-28



Detail on historic holdings of IE00BKTLJC87

Shares Issued in CITY

DateShares IssuedNum New CITY SharesNAVMarket value of new CITY shares issuedValue of shares added to portfolio holdingsCash or Equivalent
2026-01-2938,370,3180 @ EUR 8.088USD 9.71EUR 0 (USD 0)USD 0USD   849,812
JPY   95,989
EUR   93,979
USD-HSBFT   55,000
GBP   54,345
CAD   37,762
SEK   36,262
USD-ICSUAGD   29,084
HKD   19,950
DKK   17,341
AUD   15,912
ILS   15,329
MYR   15,180
BRL   12,535
CHF   11,986
KRW   11,494
SGD   11,432
IDR   6,914
TWD   1,225
USD-RTYH6   399,615
USD-MFSH6   766,950
2026-01-2838,370,3180 @ EUR 8.168USD 9.74EUR 0 (USD 0)USD 0USD   844,662
JPY   95,579
EUR   94,019
USD-HSBFT   55,000
GBP   54,448
CAD   37,751
SEK   36,294
USD-ICSUAGD   29,084
HKD   19,958
DKK   17,364
AUD   15,956
ILS   15,311
MYR   15,213
BRL   12,586
CHF   11,967
KRW   11,523
SGD   11,461
IDR   6,932
TWD   1,223
USD-RTYH6   399,465
USD-MFSH6   761,950
2026-01-2738,370,3180 @ EUR 8.165USD 9.77EUR 0 (USD 0)USD 0USD   850,664
JPY   95,744
EUR   94,082
USD-HSBFT   55,000
GBP   54,294
CAD   37,610
SEK   36,358
USD-ICSUAGD   24,405
HKD   19,962
DKK   17,374
AUD   15,880
ILS   15,263
MYR   15,084
BRL   12,564
CHF   11,990
SGD   11,457
KRW   11,337
IDR   6,907
TWD   1,220
USD-RTYH6   401,640
USD-MFSH6   770,125
2026-01-2638,370,3180 @ EUR 8.161USD 9.71EUR 0 (USD 0)USD 0USD   860,582
JPY   95,383
EUR   93,641
USD-HSBFT   55,000
GBP   54,120
CAD   37,417
SEK   36,037
USD-ICSUAGD   24,405
HKD   19,967
DKK   17,290
AUD   15,819
ILS   15,214
MYR   15,035
BRL   12,462
CHF   11,896
SGD   11,419
KRW   11,374
IDR   6,903
TWD   1,218
USD-RTYH6   400,635
USD-MFSH6   758,000
2026-01-2338,370,3180 @ EUR 8.217USD 9.64EUR 0 (USD 0)USD 0USD   871,211
JPY   92,783
EUR   92,551
USD-HSBFT   55,000
GBP   53,553
CAD   37,268
SEK   35,682
HKD   19,965
USD-ICSUAGD   17,920
DKK   17,090
AUD   15,668
ILS   15,125
MYR   14,885
BRL   12,411
CHF   11,667
SGD   11,338
KRW   11,183
IDR   6,887
TWD   1,214
USD-RTYH6   401,940
USD-MFSH6   754,125
2026-01-2238,370,3180 @ EUR 8.228USD 9.63EUR 0 (USD 0)USD 0USD   865,562
JPY   92,605
EUR   92,362
USD-HSBFT   55,000
GBP   53,216
CAD   37,087
SEK   35,598
HKD   19,967
DKK   17,053
USD-ICSUAGD   16,751
AUD   15,561
ILS   15,115
MYR   14,758
BRL   12,383
CHF   11,640
SGD   11,301
KRW   11,153
IDR   6,858
TWD   1,212
USD-RTYH6   409,620
USD-MFSH6   750,175
2026-01-2138,370,3180 @ EUR 8.181USD 9.58EUR 0 (USD 0)USD 0USD   865,473
JPY   92,725
EUR   92,114
USD-HSBFT   55,000
GBP   53,014
CAD   37,097
SEK   35,295
HKD   19,967
DKK   17,004
AUD   15,436
ILS   15,042
MYR   14,732
BRL   12,315
CHF   11,593
SGD   11,285
KRW   11,139
IDR   6,838
TWD   1,209
USD-RTYH6   406,620
USD-MFSH6   747,425
2026-01-2038,370,3180 @ EUR 8.178USD 9.52EUR 0 (USD 0)USD 0USD   890,273
JPY   92,889
EUR   82,520
USD-HSBFT   55,000
GBP   53,135
CAD   37,009
SEK   35,184
HKD   19,965
DKK   17,041
AUD   15,370
ILS   14,984
MYR   14,705
BRL   12,222
CHF   11,650
SGD   11,285
KRW   11,087
IDR   6,832
TWD   1,212
USD-RTYH6   398,805
USD-MFSH6   740,075
2026-01-1938,370,3180 @ EUR 8.210USD 9.63EUR 0 (USD 0)USD 0USD   908,049
JPY   92,821
EUR   81,901
USD-HSBFT   55,000
GBP   52,991
CAD   36,918
SEK   34,880
HKD   19,969
DKK   16,912
AUD   15,301
ILS   15,026
MYR   14,703
BRL   12,236
CHF   11,550
SGD   11,272
KRW   11,124
IDR   6,836
TWD   1,213
USD-RTYH6   403,680
USD-MFSH6   746,150
2026-01-1638,370,3180 @ EUR 8.319USD 9.66EUR 0 (USD 0)USD 0USD   923,447
JPY   92,815
EUR   81,584
USD-HSBFT   55,000
GBP   52,829
CAD   36,791
SEK   34,796
HKD   19,963
DKK   16,845
AUD   15,231
ILS   15,075
MYR   14,694
BRL   12,184
CHF   11,464
SGD   11,232
KRW   11,110
IDR   6,858
USD-ETD_USD   2,270
TWD   1,213
USD-RTYH6   403,680
USD-MFSH6   751,425
EUR0USD 0
The number of shares 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 issued is based on the adjusted close price of the ETF - 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

Recent events of CITY.MI

DateEvent
2026-01-1320,310 shares issued in CITY (IE00BKTLJC87) @ EUR 8.2019996643066
2026-01-1235,330 shares issued in CITY (IE00BKTLJC87) @ EUR 8.1809997558594
2025-12-18CITY NAV increased by 0.77% from 2025-12-17 to 2025-12-18.
2025-12-17CITY NAV decreased by 0.98% from 2025-12-16 to 2025-12-17.
2025-12-16CITY NAV decreased by 0.65% from 2025-12-15 to 2025-12-16.
2025-12-15CITY NAV decreased by 0.11% from 2025-12-12 to 2025-12-15.
2025-12-12CITY NAV decreased by 1.50% from 2025-12-11 to 2025-12-12.
2025-12-11CITY NAV increased by 1.08% from 2025-12-10 to 2025-12-11.
2025-12-10CITY NAV increased by 0.43% from 2025-12-09 to 2025-12-10.
2025-12-09CITY NAV decreased by 0.75% from 2025-12-08 to 2025-12-09.

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.

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