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New York Stock Exchange ArcaEquity ETF
$54.06
−$0.41 · -0.75%
As of Oct 8, 9:44 AM ET
Regular session · ET · Market data may be delayed.
iShares, Inc. - iShares MSCI Pacific ex Japan ETF is an exchange traded fund launched by BlackRock, Inc. The fund is managed by BlackRock Fund Advisors. It invests in public equity markets of Asia/Pacific developed region. It invests in stocks of companies operating across diversified sectors. It invests in growth and value stocks of companies across diversified market capitalization. The fund seeks to track the performance of the MSCI Pacific ex Japan Index, by using representative sampling technique. iShares, Inc. - iShares MSCI Pacific ex Japan ETF was formed on October 25, 2001 and is domiciled in the United States.
Fund facts updated Oct 8, 2026.
Day range
Current $54.06
52-week range
Current $54.06
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ETF data may be delayed, incomplete, or revised. Holdings and exposures change over time. Historical performance does not guarantee future results. This page is for informational and educational purposes only and does not constitute investment advice or a recommendation.
1 month
-6.54%
3 months
+0.56%
Year to date
+7.11%
1 year
+3.50%
3 years
+36.07%
5 years
+8.49%
Since inception
+223.13%
Cumulative price changes exclude distributions and investor-specific taxes, trading costs, and cash flows.
Showing 15 of 98 reported holdings
Holdings data updated Oct 8, 2026.
Jun 15, 2026
Jun 15, 2026
Jun 18, 2026
$0.8241
Semiannual
Dec 16, 2025
Dec 16, 2025
Dec 19, 2025
$1.0456
Semiannual
Jun 16, 2025
Jun 16, 2025
Jun 20, 2025
$0.8588
Semiannual
Dec 17, 2024
Dec 17, 2024
Dec 20, 2024
$0.9675
Semiannual
Jun 11, 2024
Jun 11, 2024
Jun 17, 2024
$0.7013
Semiannual
Dec 20, 2023
Dec 21, 2023
Dec 27, 2023
$0.966
Semiannual
Jun 7, 2023
Jun 8, 2023
Jun 13, 2023
$0.8146
Semiannual
Dec 13, 2022
Dec 14, 2022
Dec 19, 2022
$0.7088
Semiannual
Jun 9, 2022
Jun 10, 2022
Jun 15, 2022
$1.1597
Semiannual
Dec 30, 2021
Dec 31, 2021
Jan 5, 2022
$0.2947
Irregular
Amounts are shown per share in the ETF trading currency and adjusted for splits when the provider supplies an adjusted value; otherwise the reported amount is used.