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iShares S&P 100 ETF: (OEF)

(Delayed Data from NYSE) As of Oct 9, 2026 04:00 PM ET

$389.01 USD

389.01
147,898

+2.01 (0.52%)

Volume: 147,898

Zacks ETF Rank

This is our ETF rating system that serves as a timeliness indicator for ETFs over the next 6 months:

Zacks Rank Definition
1 Strong Buy
2 Buy
3 Hold
4 Sell
5 Strong Sell

See all the Top Ranked ETFs here - The complete list of all the top ranked ETFs

3 - Hold of 5     3    

After-Market: $388.80 -0.21 (-0.05 %) 7:58 PM ET

Zacks News

Zacks Equity Research

Should iShares S&P 100 ETF (OEF) Be on Your Investing Radar?

Style Box ETF report for OEF

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Mag 7 ETFs Look Unstoppable Heading Into 2025

Magnificent Seven stocks have been on a spectacular ride this year and are poised to see more gains in 2025.

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Can Q3 Earnings Fuel a New Rally in "Mag 7" ETFs?

The third-quarter earnings for the "Mag 7" companies are expected to be up 16.2% from the same period last year on 13.6% higher revenues.

Zacks Equity Research

Should iShares S&P 100 ETF (OEF) Be on Your Investing Radar?

Style Box ETF report for OEF

Zacks Equity Research

Should iShares S&P 100 ETF (OEF) Be on Your Investing Radar?

Style Box ETF report for OEF

Sweta Killa headshot

What's Ahead for "Mag 7" ETFs in Q2 Earnings After Sell-Off?

"Magnificent 7" has lost its steam in recent weeks. Can second-quarter earnings bring back the momentum?

Zacks Equity Research

Should iShares S&P 100 ETF (OEF) Be on Your Investing Radar?

Style Box ETF report for OEF

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Hedge Fund's "Mag 7" Exposure Hits a Record: ETFs to Tap

Buoyed by the AI boom and NVIDIA's blockbuster earnings, hedge funds raised their exposure to U.S. technology behemoths to a record high.

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Should You Buy the Dip in Magnificent 7 ETFs Before Q1 Earnings?

Magnificent Seven stocks suffered the worst-ever weekly loss, erasing $950 billion last week. However, first-quarter earnings are expected to drive the whole group higher.

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5 Defensive Investment ETF Strategies for Your Portfolio

Market volatility roared back in recent weeks on growing inflation worries, the uncertain timing of Fed rate cuts and escalating geopolitical tension in the Middle East. The combination of these factors has made investors jittery, compelling them to revisit their portfolios.