Inception Return 
                                        (11/16/2010)
                                     | 
                                    
                                        3.49 %
                                     | 
                                 
                                
                                    | 
                                        YTD Return
                                     | 
                                    
                                        6.90 %
                                     | 
                                 
                             
                         | 
                        
                            
                                
                                    
                                        NAVPS 
                                        (10/30/2025)
                                     | 
                                    
                                        $15.69
                                     | 
                                 
                                
                                    | 
                                        Change
                                     | 
                                    
                                         
                                        ($0.07) / -0.42 %
                                     | 
                                 
                             
                         | 
                    
                
                
                    
                        | 
                             
                                Growth of $10,000
                                
                                    (As of September 30, 2025) 
                            
                         | 
                        
                            
                                
                                    | 
                                        MER
                                     | 
                                    
                                        0.50 %
                                     | 
                                 
                                
                                    | 
                                        Assets ($mil)
                                     | 
                                    
                                        $235.79
                                     | 
                                 
                                
                                    | 
                                        Rank (1Yr)
                                     | 
                                    
                                        61/67
                                     | 
                                 
                                
                                    | 
                                        Std Dev (3Yr)
                                     | 
                                    
                                        13.18 %
                                     | 
                                 
                                
                                    | 
                                        Volatility Ranking (3Yr)
                                     | 
                                    
                                        6/10
                                     | 
                                 
                                
                                    | 
                                        RRSP Eligibility
                                     | 
                                    
                                        Yes
                                     | 
                                 
                                
                                    | 
                                        Load
                                     | 
                                    
                                        No Load
                                     | 
                                 
                                
                                    | 
                                        Max Front End
                                     | 
                                    
                                        -
                                     | 
                                 
                                
                                    | 
                                        Max Back End
                                     | 
                                    
                                        -
                                     | 
                                 
                                
                                    | 
                                        Sales Status
                                     | 
                                    
                                        Open
                                     | 
                                 
                             
                         | 
                    
                
                
                    
                         
                    
                        
                            | 
                                 
                                    Objective 
                                
                                    The iShares Currency Hedged International Equity Funds, other than XPF, seek to provide long-term capital growth by replicating, to the extent possible, the performance of the applicable Hedged International Equity Fund Index, net of expenses. 
                             | 
                            
                            
                                   
                                    Fund Manager 
                                
                                
                                    
                                         BlackRock Asset Management Canada Limited
                                     
                                    
                                
                                       Portfolio Manager 
                                
                                
                                        
                                          BlackRock Asset Management Canada Limited
                                        
                                    
                                   
                                       Sub-Advisor 
                                
                                
                                        
                                        Jennifer Hsui, BlackRock Institutional Trust Company, N.A.
                                         
                                    
                             | 
                        
                    
                 
             
            
            
                 
            
            
            
		
            
                
                    | 
                        
                         
                            Asset Allocation
                             (As of September 30, 2025) 
                        
                        
                     | 
                    
                        
                         
                            Sector Allocation
                             (As of September 30, 2025) 
                        
                        
                     | 
                    
                        
                         
                            Geographic Allocation
                             (As of September 30, 2025) 
                        
                        
                     | 
                
            
            
	 
            
            
                Top 10 Holdings
                
                    
            
                
		
			
				| Name | Asset | Sector | Geographic | Percent | 
			
				| Boeing Co - Pfd | US Equity | Industrial Goods | United States | 3.32% | 
			
				| KKR & Co Inc - Pfd | US Equity | Financial Services | United States | 1.13% | 
			
				| Citigroup Capital XIII - Pfd | US Equity | Mutual Fund | United States | 1.12% | 
			
				| Hewlett Packard Enterprise Co - Pfd | US Equity | Technology | United States | 0.84% | 
			
				| Apollo Global Management Inc - Pfd | US Equity | Financial Services | United States | 0.84% | 
			
				| Fortis Inc - Pfd Sr M | Canadian Equity | Utilities | Canada | 0.80% | 
			
				| TC Energy Corp - Pfd Sr 7 | Canadian Equity | Energy | Canada | 0.79% | 
			
				| JPMorgan Chase & Co - Pfd Sr EE | US Equity | Financial Services | United States | 0.78% | 
			
				| Microchip Technology Inc - Pfd | US Equity | Technology | United States | 0.73% | 
			
				| Albemarle Corp - Pfd | US Equity | Basic Materials | United States | 0.72% | 
			
		
	 
                
                
             
            
            
            
            
                Performance Data
                (As of September 30, 2025)
            
                
                    
                        
                            | 
                                 
                             | 
                            
                                Return (%)
                             | 
                            
                                Annualized Return (%)
                             | 
                        
                        
                            | 
                                Return
                             | 
                            
                                1
                                Mth
                             | 
                            
                                3
                                Mth
                             | 
                            
                                6
                                Mth
                             | 
                            
                                YTD
                             | 
                            
                                1
                                Yr
                             | 
                            
                                3
                                Yr
                             | 
                            
                                5
                                Yr
                             | 
                            
                                10
                                Yr
                             | 
                        
                        
                            |   
                                Fund
                             | 
                             
                                0.54
                             | 
                            
                                3.77
                             | 
                            
                                6.87
                             | 
                            
                                6.90
                             | 
                            
                                6.82
                             | 
                            
                                8.65
                             | 
                            
                                4.78
                             | 
                            
                                4.22
                             | 
                        
                        
                            | 
                                Benchmark
                             | 
                            
                                0.80
                             | 
                            
                                4.25
                             | 
                            
                                9.03
                             | 
                            
                                11.85
                             | 
                            
                                15.76
                             | 
                            
                                12.65
                             | 
                            
                                9.16
                             | 
                            
                                6.61
                             | 
                        
                        
                            | 
                                Quartile Ranking
                             | 
                            
                                4
                             | 
                            
                                4
                             | 
                            
                                4
                             | 
                            
                                4
                             | 
                            
                                4
                             | 
                            
                                4
                             | 
                            
                                4
                             | 
                            
                                4
                             | 
                        
                    
                 
                
                
                    
                        
                            | 
                                Calendar Return (%)
                             | 
                            
                                2024
                             | 
                            
                                2023
                             | 
                            
                                2022
                             | 
                            
                                2021
                             | 
                            
                                2020
                             | 
                            
                                2019
                             | 
                            
                                2018
                             | 
                            
                                2017
                             | 
                            
                                2016
                             | 
                            
                                2015
                             | 
                        
                        
                            | 
                                Fund
                             | 
                            
                                15.24
                             | 
                            
                                7.30
                             | 
                            
                                -19.57
                             | 
                            
                                11.41
                             | 
                            
                                5.82
                             | 
                            
                                8.81
                             | 
                            
                                -7.25
                             | 
                            
                                10.07
                             | 
                            
                                3.92
                             | 
                            
                                -5.40
                             | 
                        
                        
                            | 
                                Benchmark
                             | 
                            
                                24.70
                             | 
                            
                                5.90
                             | 
                            
                                -18.08
                             | 
                            
                                19.35
                             | 
                            
                                6.16
                             | 
                            
                                3.48
                             | 
                            
                                -7.93
                             | 
                            
                                13.62
                             | 
                            
                                6.98
                             | 
                            
                                -14.95
                             | 
                        
                        
                            | 
                                Quartile Ranking
                             | 
                            
                                4
                             | 
                            
                                2
                             | 
                            
                                4
                             | 
                            
                                4
                             | 
                            
                                2
                             | 
                            
                                1
                             | 
                            
                                2
                             | 
                            
                                4
                             | 
                            
                                4
                             | 
                            
                                1
                             |