ICLN
etf16AggressiveiShares Global Clean Energy ETF
Thematic — Energy Transition
Snapshot
Tracks global clean-energy companies (solar, wind, hydrogen, grid). A thematic bet on the multi-decade energy transition.
Long-Term Total Return
Decade-scale view, dividends reinvested, vs. the S&P 500.
Growth of $10,000 invested at the start of the period, total return (price + reinvested dividends). Illustrative.
Risk Profile
Higher growth potential with larger drawdowns and uncertainty.
2–5 Year Outlook
Hypothetical bear / base / bull scenarios — not a prediction.
Hypothetical 5-year scenarios for $10,000 invested today.
| Scenario | Annualized | Total return | $10,000 → |
|---|---|---|---|
| Bull 13%/yr total return | +13.0%/yr | +84% | $18,392 |
| Base 4%/yr total return (≈ long-run trend) | +4.0%/yr | +22% | $12,167 |
| Bear -7%/yr total return | -7.2%/yr | -31% | $6,882 |
Projected from the fund's long-run total-return trend, widened by its volatility.
Technical Indicators
Objective price signals — moving averages, RSI, 52-week range — to interpret, not act on.
Illustrative daily prices (last ~9 months) with 50- and 200-day moving averages.
- Trading above its 50- and 200-day moving averages — a textbook uptrend.
- RSI 52 — neutral (neither overbought nor oversold).
- 7% below its 52-week high.
- MACD is above its signal line (positive momentum).
Technical indicators are objective descriptions of price behavior, not signals to act on. They are computed from illustrative sample prices and say nothing about a company's value. Not investment advice.
Fund Facts
- Expense ratio
- 0.41%Lower compounds to more wealth over decades
- 30-day yield
- 1.5%
- Holdings
- 100
- Turnover
- 40%Proxy for tax efficiency
- Tracking error
- 0.50%
- Structure
- Passive indexFund age 16y
Sector Exposure
- Utilities38%
- Industrials28%
- Technology22%
- Other12%
Geographic Exposure
- United States38%
- Europe30%
- Asia22%
- Other10%
Moat Analysis
Exposure to a real long-duration trend, but thematic funds carry concentration, valuation, and policy-dependency risks that have produced volatile results.
Risk Factors
What could impair the long-term thesis.
- High volatility and policy dependence
- Higher fees
- Interest-rate sensitivity of capital-intensive names
Hypothetical Growth
What a past investment would be worth today.
Hypothetical growth calculator
See what an investment made years ago would be worth today, vs. the S&P 500 — a Premium tool.
$9/mo or $84/yr · cancel anytime
Forward Scenario Modeler
Project a starting investment across multi-decade horizons.
Forward scenario modeler
Model conservative, base, and optimistic returns across 10–40 year horizons with Premium.
$9/mo or $84/yr · cancel anytime
Data as of 2025-12-31. Illustrative sample data for research & education — not live market data, and not a recommendation to buy or sell ICLN.