Overview

Fund Profile

Key Facts

Portfolio Strategy

The BMO MSCI Emerging Markets Index ETF has been designed to replicate, to the extent possible, the performance of the MSCI Emerging Markets Index, net of expenses. The Fund invests in emerging markets equity. The Manager may use a sampling methodology in selecting investments for the Fund. The Fund may also invest in or hold securities intended to replicate the performance of the Index. In addition, as ZEM may hold other underlying ETFs, the management fees charged are reduced by the management fees paid on the underlying ETFs.

Benchmark Info

The MSCI Emerging Markets Index is an equity index which captures large and mid-cap representation across 26 Emerging Markets countries. The index covers approximately 85% of the free float-adjusted market capitalization in each country.

Fund Benefits

  • Designed for investors looking for high growth solutions
  • Exposed to emerging market equities
  • Benefits from local currency appreciation
  • Professionally managed by BMO Global Asset Management

Risk Rating

Download

Price & Performance

Performance Chart

Growth of 10,000

Chart comparing growth of $10,000. From START_DATE to END_DATE. Comparing FUND_1 and FUND_2. For more details, email [email protected] or call 1-800-361-1392.

Performance Details

Daily Prices

Daily prices table has 3 columns. Table columns are Unit Price as of Sep 29, 2023, 1 Day Change, 1 Day % Change
Unit Price as of
(Sep 29, 2023)
1 Day Change 1 Day % Change
Market Price $ 18.68 $ 0.12 0.65%
Price (NAV) $ 18.7278 $ 0.1954 1.05%

Performance

Annualized Performance

Annualized Performance (%) for period ending: Aug 31, 2023

Table for annualized performance. For period ending
1 Year 2 Year 3 Year 5 Year 10 Year Since Inception
NAV 4.11% -8.35% -0.42% 1.59% 5.17% 3.81%
Index 4.60% -7.93% -0.14% 1.73% 5.59% 4.41%
Calendar Performance

Calendar Year Performance (%) for period ending: Aug 31, 2023

Table for calendar performance. For period ending
YTD 2022 2021 2020 2019 2018 2017 2016 2015 2014
NAV 4.27% -15.52% -2.95% 17.01% 12.88% -7.75% 28.88% 7.40% -0.22% 5.05%
Index 4.40% -14.28% -3.37% 16.23% 12.45% -6.88% 28.26% 7.34% 2.04% 6.63%
Cumulative Performance

Cumulative Performance (%) for period ending: Aug 31, 2023

Table for cumulative performance. For period ending
YTD 1 mo 3 Mo 6 Mo 1 Year 2 Year 3 Year 5 Year 10 Year Since Inception
NAV 4.27% -3.93% 2.89% 2.23% 4.11% -16.00% -1.27% 8.19% 65.49% 68.07%
Index 4.40% -3.54% 2.98% 2.97% 4.60% -15.23% -0.42% 8.95% 72.19% 81.86%

The ETF started tracking the MSCI Emerging Markets Index on April 1, 2013. Previously it was tracking the Dow Jones Emerging Markets Speciality Index.

Download

Tax & Distributions

Distribution History

Each BMO ETF will distribute net taxable income to investors at least once a year. A BMO ETF will have taxable income if the income generated (for example interest, dividend, capital gains, etc.) by the securities within the BMO ETF is greater than the expenses of the BMO ETF. The distributions will either be paid in cash or reinvested in the BMO ETF at the discretion of the manager. The future distribution dates for BMO ETFs may change at any time and whether or not a distribution occurs will depend on the tax characteristics of the underlying investments.

The following table lists historical distributions and includes information about the frequency dollar value and tax composition of the distribution. The tax composition of the BMO ETF distribution will be determined on a yearly basis and will only be available after the BMO ETFs tax year. This information will be reported in an official tax receipt provided to investors by their broker.

Download Distribution History (Excel)
Table for distribution history. For period ending
Distribution Period

Future distribution dates may change without any prior notice.

Footnote
Ex-Dividend Date Record Date Pay Date Cash Distribution Per Unit Reinvested Distribution Per Unit

Distributions by the BMO ETF that are not paid in cash should be accounted for by investors for tax purposes by adding the distribution amount to the adjusted cost base of the units held.

Footnote
Total Distribution Per Unit
Dec, 2023 Dec 27, 2023 Dec 28, 2023 Jan 03, 2024 - - -
Download Distribution Tax (Excel)
ETF distribution tax table. Showing for year
Distribution Period Eligible Dividends Non Eligible Dividends Other Income Capital Gains Return of Capital Foreign Income Foreign Tax Paid Total Distribution per Unit for Tax Purpose

The exact tax treatment of the distributions for a calendar year is calculated after the BMO ETF's tax year-end. As a result investors will receive an official tax statement from their broker detailing the type of income they have to report for tax purposes for the entire year and not for each distribution.

Footnote
- - - - - - - - -

Download

Holdings & Allocations

Daily Holdings

As of Sep 29, 2023

Stock

99.42%

Cash and Cash Equivalents

0.58%

Number of Holdings

798

Total Net Assets

$ 1,204,944,078.00


Download Holdings (Excel)
No column selected.
Daily holdings table has 5 columns. Table columns are Weight (%), Name, ISIN, Bloomberg Ticker, Base Market Value
Weight (%) Name ISIN Bloomberg Ticker Number of Shares Currency Base Market Value Sector Asset Class
8.02% ISHARES MSCI EMERGING MARKETS ETF US4642872349 EEM 1,874,260 USD 96,609,833 - Stock
5.70% TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD TW0002330008 2330 3,114,430 TWD 68,647,661 Information Technology Stock
3.74% TENCENT HOLDINGS LTD KYG875721634 700 856,387 HKD 45,079,402 Communication Services Stock
3.38% SAMSUNG ELECTRONICS CO LTD KR7005930003 005930 591,387 KRW 40,696,704 Information Technology Stock
2.46% ALIBABA GROUP HOLDING LTD KYG017191142 9988 2,013,696 HKD 29,652,328 Consumer Discretionary Stock
1.15% RELIANCE INDUSTRIES LTD INE002A01018 RELIANCE 364,134 INR 13,865,520 Energy Stock
1.10% MEITUAN KYG596691041 3690 675,008 HKD 13,309,929 Consumer Discretionary Stock
0.92% CHINA CONSTRUCTION BANK CORP CNE1000002H1 939 14,537,282 HKD 11,125,747 Financials Stock
0.87% PDD HOLDINGS INC US7223041028 PDD 78,900 USD 10,509,762 Consumer Discretionary Stock
0.86% ICICI BANK LTD INE090A01021 ICICIBC 668,196 INR 10,391,343 Financials Stock
0.77% INFOSYS LTD INE009A01021 INFO 396,897 INR 9,263,893 Information Technology Stock
0.68% HDFC BANK LTD INE040A01034 HDFCB 329,653 INR 8,197,097 Financials Stock
0.67% HON HAI PRECISION INDUSTRY CO LTD TW0002317005 2317 1,850,834 TWD 8,103,975 Information Technology Stock
0.64% SK HYNIX INC KR7000660001 000660 66,691 KRW 7,693,890 Information Technology Stock
0.63% BAIDU INC KYG070341048 9888 333,960 HKD 7,646,203 Communication Services Stock
0.61% VALE SA BRVALEACNOR0 VALE3 405,456 BRL 7,404,089 Materials Stock
0.61% NETEASE INC KYG6427A1022 9999 268,075 HKD 7,309,769 Communication Services Stock
0.57% AL RAJHI BANK SA0007879113 RJHI 278,300 SAR 6,844,351 Financials Stock
0.56% PING AN INSURANCE GROUP CO OF CHINA LTD CNE1000003X6 2318 884,570 HKD 6,805,350 Financials Stock
0.56% BANK CENTRAL ASIA TBK PT ID1000109507 BBCA 8,766,165 IDR 6,792,963 Financials Stock
0.56% MEDIATEK INC TW0002454006 2454 218,327 TWD 6,774,654 Information Technology Stock
0.50% INDUSTRIAL & COMMERCIAL BANK OF CHINA LTD CNE1000003G1 1398 9,136,121 HKD 5,977,921 Financials Stock
0.49% PETROLEO BRASILEIRO S PFD BRPETRACNPR6 - 637,099 BRL 5,963,408 Energy Stock
0.49% BYD CO LTD CNE100000296 1211 141,352 HKD 5,909,760 Consumer Discretionary Stock
0.49% ISHARES MSCI KUWAIT ETF US46436E8176 KWT 141,200 USD 5,874,371 - Stock
0.48% TATA CONSULTANCY SERVICES LTD INE467B01029 TCS 101,469 INR 5,840,246 Information Technology Stock
0.48% LARSEN & TOUBRO LTD INE018A01030 LT 116,500 INR 5,760,395 Industrials Stock
0.46% YUM CHINA HOLDINGS INC US98850P1093 YUMC 73,993 USD 5,599,915 Consumer Discretionary Stock
0.46% JD.COM INC KYG8208B1014 9618 283,269 HKD 5,592,297 Consumer Discretionary Stock
0.46% SAUDI NATIONAL BANK/THE SA13L050IE10 SNB 467,011 SAR 5,551,899 Financials Stock
0.46% SAMSUNG ELECTRONICS C PFD KR7005931001 - 100,071 KRW 5,487,509 Information Technology Stock
0.45% NASPERS LTD ZAE000325783 NPN 25,090 ZAR 5,438,338 Consumer Discretionary Stock
0.44% QUANTA COMPUTER INC TW0002382009 2382 522,419 TWD 5,286,410 Information Technology Stock
0.44% PETROLEO BRASILEIRO SA BRPETRACNOR9 PETR3 513,787 BRL 5,260,384 Energy Stock
0.43% BAJAJ FINANCE LTD INE296A01024 BAF 40,575 INR 5,167,742 Financials Stock
0.40% AXIS BANK LTD INE238A01034 AXSB 287,052 INR 4,844,687 Financials Stock
0.40% AMERICA MOVIL SAB DE CV MX01AM050019 AMXB 4,068,025 MXN 4,771,608 Communication Services Stock
0.40% SAMSUNG SDI CO LTD KR7006400006 006400 9,260 KRW 4,769,413 Information Technology Stock
0.39% BANK OF CHINA LTD CNE1000001Z5 3988 9,767,460 HKD 4,644,698 Financials Stock
0.38% XIAOMI CORP KYG9830T1067 1810 2,185,333 HKD 4,622,063 Information Technology Stock
0.38% WUXI BIOLOGICS CAYMAN INC KYG970081173 2269 575,976 HKD 4,594,719 Health Care Stock
0.36% POSCO HOLDINGS INC KR7005490008 005490 8,236 KRW 4,383,662 Materials Stock
0.36% SAUDI ARABIAN MINING CO SA123GA0ITH7 MAADEN 297,336 SAR 4,346,744 Materials Stock
0.35% DELTA ELECTRONICS INC TW0002308004 2308 306,000 TWD 4,178,424 Information Technology Stock
0.34% QATAR NATIONAL BANK QPSC QA0006929895 QNBK 713,188 QAR 4,098,117 Financials Stock
0.34% BANK RAKYAT INDONESIA PERSERO TBK PT ID1000118201 BBRI 8,903,961 IDR 4,087,091 Financials Stock
0.34% BANK MANDIRI PERSERO TBK PT ID1000095003 BMRI 7,693,200 IDR 4,073,623 Financials Stock
0.33% GRUPO FINANCIERO BANORTE SAB DE CV MXP370711014 GFNORTEO 347,377 MXN 3,954,638 Financials Stock
0.32% SAUDI ARABIAN OIL CO SA14TG012N13 ARAMCO 307,442 SAR 3,897,236 Energy Stock
0.32% SAUDI TELECOM CO SA0007879543 STC 279,920 SAR 3,812,484 Communication Services Stock
0.31% ALINMA BANK SA122050HV19 ALINMA 312,656 SAR 3,778,972 Financials Stock
0.31% LG CHEM LTD KR7051910008 051910 7,558 KRW 3,774,261 Materials Stock
0.31% SAUDI BASIC INDUSTRIES CORP SA0007879121 SABIC 126,258 SAR 3,774,084 Materials Stock
0.30% FOMENTO ECONOMICO MEXICANO SAB DE CV MXP320321310 FEMSAUBD 247,278 MXN 3,661,323 Consumer Staples Stock
0.30% FIRST ABU DHABI BANK PJSC AEN000101016 FAB 726,284 AED 3,653,510 Financials Stock
0.30% ITAU UNIBANCO HOLDING PFD BRITUBACNPR1 - 494,515 BRL 3,635,948 Financials Stock
0.30% LI AUTO INC KYG5479M1050 2015 148,200 HKD 3,600,009 Consumer Discretionary Stock
0.29% NTPC LTD INE733E01010 NTPC 859,118 INR 3,453,135 Utilities Stock
0.28% TRIP.COM GROUP LTD KYG9066F1019 9961 71,200 HKD 3,411,937 Consumer Discretionary Stock
0.28% PUBLIC BANK BHD MYL1295OO004 PBK 2,883,355 MYR 3,382,749 Financials Stock
0.27% PETROCHINA CO LTD CNE1000003W8 857 3,233,618 HKD 3,297,091 Energy Stock
0.27% ITC LTD INE154A01025 ITC 447,305 INR 3,246,121 Consumer Staples Stock
0.27% HINDUSTAN UNILEVER LTD INE030A01027 HUVR 80,018 INR 3,221,205 Consumer Staples Stock
0.26% UNITED MICROELECTRONICS CORP TW0002303005 2303 1,671,963 TWD 3,183,972 Information Technology Stock
0.26% ASE TECHNOLOGY HOLDING CO LTD TW0003711008 3711 681,910 TWD 3,146,820 Information Technology Stock
0.26% TATA MOTORS LTD INE155A01022 TTMT 303,157 INR 3,125,595 Consumer Discretionary Stock
0.26% NAVER CORP KR7035420009 035420 15,165 KRW 3,073,777 Communication Services Stock
0.25% LG ENERGY SOLUTION LTD KR7373220003 373220 6,400 KRW 3,068,115 Industrials Stock
0.25% WEG SA BRWEGEACNOR0 WEGE3 311,744 BRL 3,055,311 Industrials Stock
0.25% B3 SA - BRASIL BOLSA BALCAO BRB3SAACNOR6 B3SA3 908,461 BRL 3,016,948 Financials Stock
0.25% DELTA ELECTRONICS THAI FORGN TH0528A10Z14 DELTA/F 972,000 THB 2,998,077 - Stock
0.25% CHAILEASE HOLDING CO LTD KYG202881093 5871 392,962 TWD 2,992,869 Financials Stock
0.25% KIA CORP KR7000270009 000270 36,668 KRW 2,989,275 Consumer Discretionary Stock
0.25% GRUPO MEXICO SAB DE CV MXP370841019 GMEXICOB 464,331 MXN 2,980,497 Materials Stock
0.25% WAL-MART DE MEXICO SAB DE CV MX01WA000038 WALMEX* 577,009 MXN 2,958,156 Consumer Staples Stock
0.25% EMIRATES TELECOMMUNICATIONS GROUP CO PJSC AEE000401019 EAND 391,033 AED 2,955,755 Communication Services Stock
0.24% KUAISHOU TECHNOLOGY KYG532631028 1024 269,300 HKD 2,905,248 Communication Services Stock
0.24% HCL TECHNOLOGIES LTD INE860A01027 HCLT 143,100 INR 2,888,414 Information Technology Stock
0.23% KB FINANCIAL GROUP INC KR7105560007 105560 49,857 KRW 2,785,282 Financials Stock
0.23% CHUNGHWA TELECOM CO LTD TW0002412004 2412 566,900 TWD 2,767,559 Communication Services Stock
0.23% CHINA MERCHANTS BANK CO LTD CNE1000002M1 3968 490,413 HKD 2,763,645 Financials Stock
0.23% KWEICHOW MOUTAI CO LTD CNE0000018R8 600519 8,192 CNY 2,760,566 Consumer Staples Stock
0.23% BHARTI AIRTEL LTD INE397D01024 BHARTI 180,500 INR 2,737,315 Communication Services Stock
0.23% MALAYAN BANKING BHD MYL1155OO000 MAY 1,069,274 MYR 2,718,250 Financials Stock
0.22% CHINA SHENHUA ENERGY CO LTD CNE1000002R0 1088 612,047 HKD 2,696,518 Energy Stock
0.22% EMAAR PROPERTIES PJSC AEE000301011 EMAAR 894,313 AED 2,659,219 Real Estate Stock
0.22% TITAN CO LTD INE280A01028 TTAN 51,491 INR 2,650,064 Consumer Discretionary Stock
0.22% HAIER SMART HOME CO LTD CNE1000048K8 6690 623,257 HKD 2,648,017 Consumer Discretionary Stock
0.22% SHINHAN FINANCIAL GROUP CO LTD KR7055550008 055550 73,402 KRW 2,632,593 Financials Stock
0.22% E.SUN FINANCIAL HOLDING CO LTD TW0002884004 2884 2,562,140 TWD 2,614,856 Financials Stock
0.22% CHINA DEVELOPMENT FINANCIAL HOLDING CORP TW0002883006 2883 5,241,272 TWD 2,603,650 Financials Stock
0.22% CHINA MENGNIU DAIRY CO LTD KYG210961051 2319 573,706 HKD 2,602,930 Consumer Staples Stock
0.21% CHINA RESOURCES LAND LTD KYG2108Y1052 1109 480,048 HKD 2,569,625 Real Estate Stock
0.21% NIO INC US62914V1061 NIO 207,900 USD 2,552,717 Consumer Discretionary Stock
0.21% ASTRA INTERNATIONAL TBK PT ID1000122807 ASII 4,617,399 IDR 2,523,354 Industrials Stock
0.21% FIRSTRAND LTD ZAE000066304 FSR 548,428 ZAR 2,510,457 Financials Stock
0.21% MAHINDRA & MAHINDRA LTD INE101A01026 MM 97,642 INR 2,483,754 Consumer Discretionary Stock
0.20% ASIAN PAINTS LTD INE021A01026 APNT 47,476 INR 2,456,126 Materials Stock
0.20% CHINA PETROLEUM & CHEMICAL CORP CNE1000002Q2 386 3,313,827 HKD 2,450,343 Energy Stock
0.20% TATA STEEL LTD INE081A01020 TATA 1,149,360 INR 2,423,428 Materials Stock
0.20% PTT PCL TH0646010Z18 PTT/F 1,913,230 THB 2,387,035 Energy Stock
0.20% MARUTI SUZUKI INDIA LTD INE585B01010 MSIL 13,735 INR 2,378,820 Consumer Discretionary Stock
0.20% POWSZECHNY ZAKLAD UBEZPIECZEN SA PLPZU0000011 PZU 185,027 PLN 2,377,892 Financials Stock
0.20% ZIJIN MINING GROUP CO LTD CNE100000502 2899 1,138,000 HKD 2,350,796 Materials Stock
0.19% BANCO BRADESCO SA PFD BRBBDCACNPR8 - 606,008 BRL 2,341,661 Financials Stock
0.19% KAKAO CORP KR7035720002 035720 52,738 KRW 2,331,786 Communication Services Stock
0.19% CENTRAIS ELETRICAS BRASILEIRAS SA BRELETACNOR6 ELET3 233,700 BRL 2,329,577 Utilities Stock
0.19% OTP BANK NYRT HU0000061726 OTP 47,000 HUF 2,303,402 Financials Stock
0.19% ITAUSA SA PFD BRITSAACNPR7 - 941,264 BRL 2,301,811 Financials Stock
0.19% LTIMINDTREE LTD INE214T01019 LTIM 26,862 INR 2,285,200 Information Technology Stock
0.19% KT&G CORP KR7033780008 033780 26,304 KRW 2,284,574 Consumer Staples Stock
0.19% SUN PHARMACEUTICAL INDUSTRIES LTD INE044A01036 SUNP 118,430 INR 2,236,826 Health Care Stock
0.19% GOLD FIELDS LTD ZAE000018123 GFI 151,238 ZAR 2,232,707 Materials Stock
0.18% TECH MAHINDRA LTD INE669C01036 TECHM 110,485 INR 2,209,323 Information Technology Stock
0.18% ANTA SPORTS PRODUCTS LTD KYG040111059 2020 144,200 HKD 2,186,008 Consumer Discretionary Stock
0.18% ULTRATECH CEMENT LTD INE481G01011 UTCEM 16,157 INR 2,184,298 Materials Stock
0.18% ABU DHABI COMMERCIAL BANK PJSC AEA000201011 ADCB 679,126 AED 2,172,771 Financials Stock
0.18% LI NING CO LTD KYG5496K1242 2331 379,900 HKD 2,167,134 Consumer Discretionary Stock
0.18% SUZANO SA BRSUZBACNOR0 SUZB3 146,391 BRL 2,147,158 Materials Stock
0.18% STATE BANK OF INDIA INE062A01020 SBIN 219,051 INR 2,141,730 Financials Stock
0.18% SAUDI KAYAN PETROCHEMICAL CO SA000A0MQCJ2 KAYAN 472,317 SAR 2,139,660 Materials Stock
0.18% KOTAK MAHINDRA BANK LTD INE237A01028 KMB 75,044 INR 2,131,601 Financials Stock
0.18% STANDARD BANK GROUP LTD ZAE000109815 SBK 160,768 ZAR 2,116,489 Financials Stock
0.17% UNIMICRON TECHNOLOGY CORP TW0003037008 3037 285,900 TWD 2,091,457 Information Technology Stock
0.17% YAGEO CORP TW0002327004 2327 94,487 TWD 2,089,098 Information Technology Stock
0.17% CHINA RESOURCES BEER HOLDINGS CO LTD HK0291001490 291 280,300 HKD 2,081,739 Consumer Staples Stock
0.17% RIYAD BANK SA0007879048 RIBL 206,382 SAR 2,074,014 Financials Stock
0.17% SAMSUNG BIOLOGICS CO LTD KR7207940008 207940 3,012 KRW 2,059,395 Health Care Stock
0.17% NONGFU SPRING CO LTD CNE100004272 9633 262,700 HKD 2,041,381 Consumer Staples Stock
0.17% WPG HOLDINGS LTD TW0003702007 3702 797,960 TWD 2,034,949 Information Technology Stock
0.16% VIPSHOP HOLDINGS LTD US92763W1036 VIPS 91,200 USD 1,983,197 Consumer Discretionary Stock
0.16% ECOPRO CO LTD KR7086520004 086520 2,200 KRW 1,971,407 Materials Stock
0.16% FIRST FINANCIAL HOLDING CO LTD TW0002892007 2892 1,759,595 TWD 1,965,737 Financials Stock
0.16% AMBEV SA BRABEVACNOR1 ABEV3 554,488 BRL 1,964,285 Consumer Staples Stock
0.16% POWER GRID CORP OF INDIA LTD INE752E01010 PWGR 596,372 INR 1,951,940 Utilities Stock
0.16% MEGA FINANCIAL HOLDING CO LTD TW0002886009 2886 1,224,430 TWD 1,943,299 Financials Stock
0.16% SHENZHOU INTERNATIONAL GROUP HOLDINGS LTD KYG8087W1015 2313 149,301 HKD 1,936,032 Consumer Discretionary Stock
0.16% CITIC SECURITIES CO LTD CNE1000016V2 6030 702,041 HKD 1,926,101 Financials Stock
0.16% SAUDI ELECTRICITY CO SA0007879550 SECO 275,419 SAR 1,901,377 Utilities Stock
0.16% POWSZECHNA KASA OSZCZEDNOSCI BANK POLSKI SA PLPKO0000016 PKO 176,249 PLN 1,891,889 Financials Stock
0.16% HYUNDAI MOBIS CO LTD KR7012330007 012330 7,798 KRW 1,886,956 Consumer Discretionary Stock
0.16% QATAR ISLAMIC BANK SAQ QA0006929853 QIBK 271,746 QAR 1,881,412 Financials Stock
0.16% LOCALIZA RENT A CAR SA BRRENTACNOR4 RENT3 118,870 BRL 1,880,975 Industrials Stock
0.16% BDO UNIBANK INC PHY077751022 BDO 550,630 PHP 1,876,208 Financials Stock
0.15% CP ALL PCL TH0737010Y16 CPALL/F 818,189 THB 1,844,961 Consumer Staples Stock
0.15% HYUNDAI MOTOR CO KR7005380001 005380 9,542 KRW 1,834,745 Consumer Discretionary Stock
0.15% APOLLO HOSPITALS ENTERPRISE LTD INE437A01024 APHS 21,771 INR 1,833,128 Health Care Stock
0.15% HANA FINANCIAL GROUP INC KR7086790003 086790 42,377 KRW 1,810,124 Financials Stock
0.15% ECOPRO BM CO LTD KR7247540008 247540 7,112 KRW 1,809,668 Industrials Stock
0.15% CSPC PHARMACEUTICAL GROUP LTD HK1093012172 1093 1,815,916 HKD 1,803,032 Health Care Stock
0.15% SOCIEDAD QUIMICA Y MI PFD CLP8716X1082 - 22,238 CLP 1,796,413 Industrials Stock
0.15% BAJAJ FINSERV LTD INE918I01026 BJFIN 71,450 INR 1,796,112 Financials Stock
0.15% TENAGA NASIONAL BHD MYL5347OO009 TNB 618,912 MYR 1,788,460 Utilities Stock
0.15% BANK ALBILAD SA000A0D9HK3 ALBI 114,460 SAR 1,752,605 Financials Stock
0.14% BID CORP LTD ZAE000216537 BID 57,719 ZAR 1,739,053 Consumer Staples Stock
0.14% JIO FINANCIAL SERVICES LTD INE758E01017 JIOFIN 457,534 INR 1,728,706 Financials Stock
0.14% CREDICORP LTD BMG2519Y1084 BAP 9,940 USD 1,727,724 Financials Stock
0.14% KOMERCNI BANKA AS CZ0008019106 KOMB 43,702 CZK 1,724,371 Financials Stock
0.14% RUMO SA BRRAILACNOR9 RAIL3 279,507 BRL 1,723,527 Industrials Stock
0.14% TELKOM INDONESIA PERSERO TBK PT ID1000129000 TLKM 5,221,044 IDR 1,719,961 Communication Services Stock
0.14% HDFC LIFE INSURANCE CO LTD INE795G01014 HDFCLIFE 160,554 INR 1,678,947 Financials Stock
0.14% CATHAY FINANCIAL HOLDING CO LTD TW0002882008 2882 877,860 TWD 1,646,347 Financials Stock
0.13% AVENUE SUPERMARTS LTD INE192R01011 DMART 26,836 INR 1,615,226 Consumer Staples Stock
0.13% ZTO EXPRESS CAYMAN INC US98980A1051 ZTO 49,138 USD 1,613,147 Industrials Stock
0.13% TATA CONSUMER PRODUCTS LTD INE192A01025 TATACONS 112,000 INR 1,606,606 Consumer Staples Stock
0.13% CIA DE SANEAMENTO BASICO DO ESTADO DE SAO PAULO SABESP BRSBSPACNOR5 SBSP3 96,511 BRL 1,591,585 Utilities Stock
0.13% ARCA CONTINENTAL SAB DE CV MX01AC100006 AC* 128,200 MXN 1,586,358 Consumer Staples Stock
0.13% BANK OF THE PHILIPPINE ISLANDS PHY0967S1694 BPI 582,727 PHP 1,567,076 Financials Stock
0.13% ENN ENERGY HOLDINGS LTD KYG3066L1014 2688 138,500 HKD 1,554,813 Utilities Stock
0.13% PETRO RIO SA BRPRIOACNOR1 PRIO3 122,200 BRL 1,553,275 Energy Stock
0.13% UNI-PRESIDENT ENTERPRISES CORP TW0001216000 1216 519,180 TWD 1,533,186 Consumer Staples Stock
0.13% SABIC AGRI-NUTRIENTS CO SA0007879139 SAFCO 31,700 SAR 1,527,052 Materials Stock
0.13% TAIWAN COOPERATIVE FINANCIAL HOLDING CO LTD TW0005880009 5880 1,413,228 TWD 1,522,287 Financials Stock
0.13% ASUSTEK COMPUTER INC TW0002357001 2357 98,413 TWD 1,521,857 Information Technology Stock
0.12% PICC PROPERTY & CASUALTY CO LTD CNE100000593 2328 860,772 HKD 1,495,102 Financials Stock
0.12% BANCO BTG PACTUAL SA BRBPACUNT006 BPAC11 176,800 BRL 1,484,339 Financials Stock
0.12% TURKIYE PETROL RAFINERILERI AS TRATUPRS91E8 TUPRS 188,433 TRY 1,474,288 Energy Stock
0.12% SYNNEX TECHNOLOGY INTERNATIONAL CORP TW0002347002 2347 542,100 TWD 1,462,871 Information Technology Stock
0.12% FUBON FINANCIAL HOLDING CO LTD TW0002881000 2881 566,889 TWD 1,448,864 Financials Stock
0.12% REALTEK SEMICONDUCTOR CORP TW0002379005 2379 85,700 TWD 1,436,499 Information Technology Stock
0.12% JSW STEEL LTD INE019A01038 JSTL 110,958 INR 1,410,970 Materials Stock
0.12% NAN YA PLASTICS CORP TW0001303006 1303 501,000 TWD 1,404,502 Materials Stock
0.12% POSCO FUTURE M CO LTD KR7003670007 003670 3,900 KRW 1,390,023 Industrials Stock
0.11% INNOVENT BIOLOGICS INC KYG4818G1010 1801 209,500 HKD 1,382,238 Health Care Stock
0.11% ANGLOGOLD ASHANTI PLC GB00BRXH2664 ANG 63,028 ZAR 1,377,773 - Stock
0.11% JD HEALTH INTERNATIONAL INC KYG5074A1004 6618 196,800 HKD 1,371,216 Consumer Staples Stock
0.11% HINDALCO INDUSTRIES LTD INE038A01020 HNDL 168,371 INR 1,352,462 Materials Stock
0.11% CHINA OVERSEAS LAND & INVESTMENT LTD HK0688002218 688 484,081 HKD 1,350,945 Real Estate Stock
0.11% KE HOLDINGS INC US4824971042 BEKE 63,800 USD 1,344,907 Real Estate Stock
0.11% LI AUTO INC US50202M1027 LI 27,600 USD 1,336,437 Consumer Discretionary Stock
0.11% CTBC FINANCIAL HOLDING CO LTD TW0002891009 2891 1,275,468 TWD 1,317,203 Financials Stock
0.11% VARUN BEVERAGES LTD INE200M01021 VBL 84,200 INR 1,307,526 Consumer Staples Stock
0.11% SOUTHERN COPPER CORP US84265V1052 SCCO 12,700 USD 1,298,736 Materials Stock
0.11% AGRICULTURAL BANK OF CHINA LTD CNE100000Q43 1288 2,560,207 HKD 1,298,586 Financials Stock
0.11% DUBAI ISLAMIC BANK PJSC AED000201015 DIB 599,484 AED 1,296,947 Financials Stock
0.11% CELLTRION HEALTHCARE CO LTD KR7091990002 091990 20,282 KRW 1,285,960 Health Care Stock
0.11% DAR AL ARKAN REAL ESTATE DEVELOPMENT CO SA11U0S23612 ALARKAN 223,600 SAR 1,276,310 Real Estate Stock
0.10% LARGAN PRECISION CO LTD TW0003008009 3008 14,013 TWD 1,260,779 Information Technology Stock
0.10% LG ELECTRONICS INC KR7066570003 066570 12,400 KRW 1,258,746 Consumer Discretionary Stock
0.10% PRESIDENT CHAIN STORE CORP TW0002912003 2912 113,500 TWD 1,253,972 Consumer Staples Stock
0.10% TURK HAVA YOLLARI AO TRATHYAO91M5 THYAO 104,200 TRY 1,245,562 Industrials Stock
0.10% GRUPO AEROPORTUARIO DEL PACIFICO SAB DE CV MX01GA000004 GAPB 55,800 MXN 1,244,349 Industrials Stock
0.10% NESTLE INDIA LTD INE239A01016 NEST 3,362 INR 1,233,429 Consumer Staples Stock
0.10% CHOLAMANDALAM INVESTMENT AND FINANCE CO LTD INE121A01024 CIFC 62,000 INR 1,226,416 Financials Stock
0.10% GRUMA SAB DE CV MXP4948K1056 GRUMAB 52,844 MXN 1,225,999 Consumer Staples Stock
0.10% SAMSUNG C&T CORP KR7028260008 028260 11,340 KRW 1,225,551 Industrials Stock
0.10% CHINA MERCHANTS SHEKOU INDUSTRIAL ZONE HOLDINGS CO LTD CNE100002FC6 001979 532,630 CNY 1,224,124 Real Estate Stock
0.10% COSCO SHIPPING HOLDINGS CO LTD CNE1000002J7 1919 878,250 HKD 1,217,591 Industrials Stock
0.10% KOREA AEROSPACE INDUSTRIES LTD KR7047810007 047810 24,790 KRW 1,217,267 Industrials Stock
0.10% SANLAM LTD ZAE000070660 SLM 258,300 ZAR 1,213,812 Financials Stock
0.10% CONTEMPORARY AMPEREX TECHNOLOGY CO LTD CNE100003662 300750 31,720 CNY 1,207,821 Industrials Stock
0.10% BANCO DE CHILE CLP0939W1081 CHILE 8,632,000 CLP 1,193,881 Financials Stock
0.10% RAIA DROGASIL SA BRRADLACNOR0 RADL3 158,808 BRL 1,185,239 Consumer Staples Stock
0.10% XPENG INC US98422D1054 XPEV 47,500 USD 1,184,530 Consumer Discretionary Stock
0.10% ENERGY ABSOLUTE PCL TH3545010011 EA/F 617,800 THB 1,174,133 Utilities Stock
0.10% DIVI'S LABORATORIES LTD INE361B01024 DIVI 19,050 INR 1,172,479 Health Care Stock
0.10% YANKUANG ENERGY GROUP CO LTD CNE1000004Q8 1171 456,910 HKD 1,167,690 Energy Stock
0.10% CIMB GROUP HOLDINGS BHD MYL1023OO000 CIMB 737,500 MYR 1,157,496 Financials Stock
0.10% LITE-ON TECHNOLOGY CORP TW0002301009 2301 224,000 TWD 1,156,470 Information Technology Stock
0.10% HOTAI MOTOR CO LTD TW0002207008 2207 41,922 TWD 1,155,426 Consumer Discretionary Stock
0.10% AECC AERO-ENGINE CONTROL CO LTD CNE000000RM5 000738 288,900 CNY 1,154,014 Industrials Stock
0.09% BHARAT ELECTRONICS LTD INE263A01024 BHE 504,900 INR 1,138,811 Industrials Stock
0.09% BANCOLOMBIA SA PFD COB07PA00086 - 126,188 COP 1,137,577 Financials Stock
0.09% KGHM POLSKA MIEDZ SA PLKGHM000017 KGH 32,886 PLN 1,135,665 Materials Stock
0.09% CAPITEC BANK HOLDINGS LTD ZAE000035861 CPI 9,136 ZAR 1,116,105 Financials Stock
0.09% RICHTER GEDEON NYRT HU0000123096 RICHT 33,899 HUF 1,115,537 Health Care Stock
0.09% SASOL LTD ZAE000006896 SOL 59,610 ZAR 1,114,197 Materials Stock
0.09% CIPLA LTD/INDIA INE059A01026 CIPLA 57,200 INR 1,112,399 Health Care Stock
0.09% WIPRO LTD INE075A01022 WPRO 166,343 INR 1,102,681 Information Technology Stock
0.09% EQUATORIAL ENERGIA SA BREQTLACNOR0 EQTL3 126,660 BRL 1,097,268 Utilities Stock
0.09% INDUSTRIES QATAR QSC QA000A0KD6K3 IQCD 213,652 QAR 1,093,141 Industrials Stock
0.09% HELLENIC TELECOMMUNICATIONS ORGANIZATION SA GRS260333000 HTO 54,655 EUR 1,084,634 Communication Services Stock
0.09% FORMOSA CHEMICALS & FIBRE CORP TW0001326007 1326 418,268 TWD 1,082,381 Materials Stock
0.09% YUANTA FINANCIAL HOLDING CO LTD TW0002885001 2885 1,018,310 TWD 1,073,812 Financials Stock
0.09% SHANDONG GOLD MINING CO LTD CNE000001FR7 600547 228,108 CNY 1,064,602 Materials Stock
0.09% TATA POWER CO LTD/THE INE245A01021 TPWR 247,600 INR 1,061,770 Utilities Stock
0.09% ASPEN PHARMACARE HOLDINGS LTD ZAE000066692 APN 86,206 ZAR 1,060,624 Health Care Stock
0.09% CEMEX SAB DE CV MXP225611567 CEMEXCPO 1,193,398 MXN 1,055,664 Materials Stock
0.09% COAL INDIA LTD INE522F01014 COAL 218,600 INR 1,054,741 Energy Stock
0.09% LENOVO GROUP LTD HK0992009065 992 772,400 HKD 1,054,064 Information Technology Stock
0.09% ZTE CORP CNE000000TK5 000063 172,400 CNY 1,047,554 Information Technology Stock
0.09% HERO MOTOCORP LTD INE158A01026 HMCL 20,900 INR 1,044,737 Consumer Discretionary Stock
0.09% ELECTRICITY GENERATING PCL TH0465010013 EGCO/F 227,300 THB 1,026,904 Utilities Stock
0.09% SHIN KONG FINANCIAL HOLDING CO LTD TW0002888005 2888 2,634,242 TWD 1,026,198 Financials Stock
0.09% BANK NEGARA INDONESIA PERSERO TBK PT ID1000096605 BBNI 1,130,900 IDR 1,025,770 Financials Stock
0.08% SINOPAC FINANCIAL HOLDINGS CO LTD TW0002890001 2890 1,390,313 TWD 1,019,347 Financials Stock
0.08% TAIWAN MOBILE CO LTD TW0003045001 3045 255,500 TWD 1,017,017 Communication Services Stock
0.08% PETRONAS CHEMICALS GROUP BHD MYL5183OO008 PCHEM 484,900 MYR 1,007,712 Materials Stock
0.08% CHINA STEEL CORP TW0002002003 2002 944,000 TWD 1,002,946 Materials Stock
0.08% NCSOFT CORP KR7036570000 036570 4,461 KRW 998,583 Communication Services Stock
0.08% GEELY AUTOMOBILE HOLDINGS LTD KYG3777B1032 175 619,720 HKD 990,626 Consumer Discretionary Stock
0.08% CHINA RESOURCES POWER HOLDINGS CO LTD HK0836012952 836 380,000 HKD 984,838 Utilities Stock
0.08% EICHER MOTORS LTD INE066A01021 EIM 17,300 INR 981,766 Consumer Discretionary Stock
0.08% DLF LTD INE271C01023 DLFU 111,700 INR 969,162 Real Estate Stock
0.08% SAMSUNG HEAVY INDUSTRIES CO LTD KR7010140002 010140 122,726 KRW 968,647 Industrials Stock
0.08% ALMARAI CO JSC SA000A0ETHT1 ALMARAI 41,900 SAR 966,805 Consumer Staples Stock
0.08% SIBANYE STILLWATER LTD ZAE000259701 SSW 459,928 ZAR 961,054 Materials Stock
0.08% AKBANK TAS TRAAKBNK91N6 AKBNK 582,104 TRY 960,189 Financials Stock
0.08% CHINA MERCHANTS PORT HOLDINGS CO LTD HK0144000764 144 568,974 HKD 958,392 Industrials Stock
0.08% SAMSUNG LIFE INSURANCE CO LTD KR7032830002 032830 13,557 KRW 958,037 Financials Stock
0.08% GRUPO BIMBO SAB DE CV MXP495211262 BIMBOA 146,600 MXN 957,236 Consumer Staples Stock
0.08% PIDILITE INDUSTRIES LTD INE318A01026 PIDI 23,800 INR 949,931 Materials Stock
0.08% KINGSOFT CORP LTD KYG5264Y1089 3888 194,100 HKD 948,964 Communication Services Stock
0.08% QATAR INTERNATIONAL ISLAMIC BANK QSC QA0006929879 QIIK 264,500 QAR 947,162 Financials Stock
0.08% LUPIN LTD INE326A01037 LPC 49,600 INR 946,543 Health Care Stock
0.08% INNOLUX CORP TW0003481008 3481 1,689,874 TWD 936,166 Information Technology Stock
0.08% MERITZ FINANCIAL GROUP INC KR7138040001 138040 16,834 KRW 935,125 Financials Stock
0.08% HAPVIDA PARTICIPACOES E INVESTIMENTOS S/A BRHAPVACNOR4 HAPV3 733,517 BRL 931,575 Health Care Stock
0.08% FORMOSA PLASTICS CORP TW0001301000 1301 275,813 TWD 926,406 Materials Stock
0.08% FAR EASTERN NEW CENTURY CORP TW0001402006 1402 762,361 TWD 922,428 Industrials Stock
0.08% TAL EDUCATION GROUP US8740801043 TAL 74,176 USD 917,828 Consumer Discretionary Stock
0.08% HONG LEONG BANK BHD MYL5819OO007 HLBK 161,800 MYR 913,709 Financials Stock
0.08% ORLEN SA PLPKN0000018 PKN 50,179 PLN 912,850 Energy Stock
0.08% CITIC LTD HK0267001375 267 736,819 HKD 912,171 Industrials Stock
0.08% PI INDUSTRIES LTD INE603J01030 PI 16,100 INR 910,588 Materials Stock
0.08% PEGATRON CORP TW0004938006 4938 281,000 TWD 906,788 Information Technology Stock
0.07% CELLTRION INC KR7068270008 068270 6,441 KRW 902,928 Health Care Stock
0.07% FAR EASTONE TELECOMMUNICATIONS CO LTD TW0004904008 4904 294,131 TWD 899,453 Communication Services Stock
0.07% TVS MOTOR CO LTD INE494B01023 TVSL 36,200 INR 899,277 Consumer Discretionary Stock
0.07% SAHARA INTERNATIONAL PETROCHEMICAL CO SA000A0KFKK0 SIPCHEM 65,630 SAR 899,211 Materials Stock
0.07% TURKIYE SISE VE CAM FABRIKALARI AS TRASISEW91Q3 SISE 331,200 TRY 891,074 Industrials Stock
0.07% HAVELLS INDIA LTD INE176B01034 HAVL 39,400 INR 887,132 Industrials Stock
0.07% HOTEL SHILLA CO LTD KR7008770000 008770 10,400 KRW 883,815 Consumer Discretionary Stock
0.07% CHINA TOWER CORP LTD CNE100003688 788 6,746,600 HKD 876,896 Communication Services Stock
0.07% HACI OMER SABANCI HOLDING AS TRASAHOL91Q5 SAHOL 298,300 TRY 876,768 Financials Stock
0.07% HENGAN INTERNATIONAL GROUP CO LTD KYG4402L1510 1044 201,690 HKD 874,134 Consumer Staples Stock
0.07% INFO EDGE INDIA LTD INE663F01024 INFOE 12,800 INR 873,952 Communication Services Stock
0.07% ASIA CEMENT CORP TW0001102002 1102 522,400 TWD 873,848 Materials Stock
0.07% FOSUN INTERNATIONAL LTD HK0656038673 656 1,017,300 HKD 871,598 Industrials Stock
0.07% GLOBAL POWER SYNERGY PCL TH6488010013 GPSC/F 521,100 THB 867,211 Utilities Stock
0.07% AUROBINDO PHARMA LTD INE406A01037 ARBP 57,700 INR 865,069 Health Care Stock
0.07% NEW CHINA LIFE INSURANCE CO LTD CNE100001922 1336 264,200 HKD 862,729 Financials Stock
0.07% NATURA & CO HOLDING SA BRNTCOACNOR5 NTCO3 218,268 BRL 858,739 Consumer Staples Stock
0.07% IFLYTEK CO LTD CNE100000B81 002230 90,600 CNY 858,159 Information Technology Stock
0.07% SHOPRITE HOLDINGS LTD ZAE000012084 SHP 49,597 ZAR 853,205 Consumer Staples Stock
0.07% GRUPO AEROPORTUARIO DEL SURESTE SAB DE CV MXP001661018 ASURB 25,600 MXN 852,047 Industrials Stock
0.07% XPENG INC KYG982AW1003 9868 67,900 HKD 851,678 Consumer Discretionary Stock
0.07% AIRTAC INTERNATIONAL GROUP KYG014081064 1590 20,600 TWD 849,711 Industrials Stock
0.07% SINO BIOPHARMACEUTICAL LTD KYG8167W1380 1177 1,720,207 HKD 846,596 Health Care Stock
0.07% GENSCRIPT BIOTECH CORP KYG3825B1059 1548 237,185 HKD 845,630 Health Care Stock
0.07% L&F CO LTD KR7066970005 066970 4,877 KRW 839,254 Information Technology Stock
0.07% DR REDDY'S LABORATORIES LTD INE089A01023 DRRD 9,176 INR 838,463 Health Care Stock
0.07% FIBRA UNO ADMINISTRACION SA DE CV MXCFFU000001 FUNO11 367,900 MXN 835,820 Real Estate Stock
0.07% BAJAJ AUTO LTD INE917I01010 BJAUT 10,100 INR 835,784 Consumer Discretionary Stock
0.07% TENCENT MUSIC ENTERTAINMENT GROUP US88034P1093 TME 96,400 USD 835,367 Communication Services Stock
0.07% BHARAT PETROLEUM CORP LTD INE029A01011 BPCL 147,000 INR 833,975 Energy Stock
0.07% BEIGENE LTD US07725L1026 BGNE 3,400 USD 830,649 Health Care Stock
0.07% SBI LIFE INSURANCE CO LTD INE123W01016 SBILIFE 38,700 INR 828,631 Financials Stock
0.07% SAMVARDHANA MOTHERSON INTERNATIONAL LTD INE775A01035 MOTHERSO 527,521 INR 828,265 Consumer Discretionary Stock
0.07% BEIGENE LTD KYG1146Y1017 6160 43,600 HKD 824,237 Health Care Stock
0.07% KINGDEE INTERNATIONAL SOFTWARE GROUP CO LTD KYG525681477 268 494,113 HKD 823,188 Information Technology Stock
0.07% ENGIE BRASIL ENERGIA SA BREGIEACNOR9 EGIE3 73,257 BRL 820,113 Utilities Stock
0.07% JBS S/A BRJBSSACNOR8 JBSS3 166,500 BRL 812,084 Consumer Staples Stock
0.07% KLABIN SA BRKLBNCDAM18 KLBN11 126,200 BRL 811,948 Materials Stock
0.07% JOINTOWN PHARMACEUTICAL GROUP CO LTD CNE100000W45 600998 402,002 CNY 809,727 Health Care Stock
0.07% SHANGHAI COMMERCIAL & SAVINGS BANK LTD/THE TW0005876007 5876 444,200 TWD 808,684 Financials Stock
0.07% METROPOLITAN BANK & TRUST CO PHY6028G1361 MBT 621,091 PHP 803,843 Financials Stock
0.07% BANK OF CHENGDU CO LTD CNE100002SN6 601838 313,800 CNY 801,833 Financials Stock
0.07% BIDVEST GROUP LTD/THE ZAE000117321 BVT 40,855 ZAR 795,946 Industrials Stock
0.07% BEIJING ENTERPRISES HOLDINGS LTD HK0392044647 392 169,800 HKD 794,590 Utilities Stock
0.07% CENTRAL PATTANA PCL TH0481B10Z18 CPN/F 337,500 THB 794,503 Real Estate Stock
0.07% CLICKS GROUP LTD ZAE000134854 CLS 42,730 ZAR 791,013 Consumer Staples Stock
0.07% MICRO-STAR INTERNATIONAL CO LTD TW0002377009 2377 114,368 TWD 790,198 Information Technology Stock
0.07% LUXSHARE PRECISION INDUSTRY CO LTD CNE100000TP3 002475 141,938 CNY 789,122 Information Technology Stock
0.06% ZTE CORP CNE1000004Y2 763 191,000 HKD 781,683 Information Technology Stock
0.06% TAIWAN HIGH SPEED RAIL CORP TW0002633005 2633 618,200 TWD 779,170 Industrials Stock
0.06% KUNLUN ENERGY CO LTD BMG5320C1082 135 666,000 HKD 778,255 Utilities Stock
0.06% GERDAU SA PFD BRGGBRACNPR8 - 119,280 BRL 777,740 Materials Stock
0.06% MULTIPLY GROUP PJSC AEM001001019 MULTIPLY 523,800 AED 775,008 Industrials Stock
0.06% ENEL AMERICAS SA CLP371861061 ENELAM 4,951,700 CLP 771,975 Utilities Stock
0.06% OLD MUTUAL LTD ZAE000255360 OMU 886,171 ZAR 767,332 Financials Stock
0.06% INTERNATIONAL CONTAINER TERMINAL SERVICES INC PHY411571011 ICT 154,050 PHP 764,528 Industrials Stock
0.06% GLOBALWAFERS CO LTD TW0006488000 6488 39,900 TWD 762,228 Information Technology Stock
0.06% CHENG SHIN RUBBER INDUSTRY CO LTD TW0002105004 2105 425,572 TWD 761,639 Consumer Discretionary Stock
0.06% BANK AL-JAZIRA SA0007879055 BJAZ 125,034 SAR 760,792 Financials Stock
0.06% HAIDILAO INTERNATIONAL HOLDING LTD KYG4290A1013 6862 209,000 HKD 757,085 Consumer Discretionary Stock
0.06% SHRIRAM FINANCE LTD INE721A01013 SHFL 24,200 INR 756,470 Financials Stock
0.06% GENTING BHD MYL3182OO002 GENT 627,300 MYR 756,154 Consumer Discretionary Stock
0.06% HANWHA SOLUTIONS CORP KR7009830001 009830 25,252 KRW 755,750 Materials Stock
0.06% HYPERA SA BRHYPEACNOR0 HYPE3 75,232 BRL 755,013 Health Care Stock
0.06% GAIL INDIA LTD INE129A01019 GAIL 369,600 INR 753,053 Utilities Stock
0.06% SRISAWAD CORP PCL TH5456010Y18 SAWAD/F 474,800 THB 752,927 Financials Stock
0.06% CHINA SHENHUA ENERGY CO LTD CNE100000767 601088 128,500 CNY 749,194 Energy Stock
0.06% ECLAT TEXTILE CO LTD TW0001476000 1476 36,360 TWD 745,493 Consumer Discretionary Stock
0.06% CITIC SECURITIES CO LTD CNE000001DB6 600030 183,100 CNY 744,848 Financials Stock
0.06% HANON SYSTEMS KR7018880005 018880 78,540 KRW 744,416 Consumer Discretionary Stock
0.06% TELEFONICA BRASIL SA BRVIVTACNOR0 VIVT3 63,456 BRL 740,398 Communication Services Stock
0.06% MYTILINEOS SA GRS393503008 MYTIL 14,800 EUR 739,696 Industrials Stock
0.06% BANK POLSKA KASA OPIEKI SA PLPEKAO00016 PEO 23,439 PLN 731,441 Financials Stock
0.06% LUZHOU LAOJIAO CO LTD CNE000000GF2 000568 17,900 CNY 729,897 Consumer Staples Stock
0.06% CHINA MEDICAL SYSTEM HOLDINGS LTD KYG211081248 867 355,878 HKD 728,985 Health Care Stock
0.06% JIANGSU YANGHE BREWERY JOINT-STOCK CO LTD CNE100000HB8 002304 30,000 CNY 728,811 Consumer Staples Stock
0.06% PING AN BANK CO LTD CNE000000040 000001 348,200 CNY 723,852 Financials Stock
0.06% SOOCHOW SECURITIES CO LTD CNE1000019P8 601555 455,122 CNY 722,694 Financials Stock
0.06% EVERGREEN MARINE CORP TAIWAN LTD TW0002603008 2603 147,000 TWD 718,174 Industrials Stock
0.06% ETIHAD ETISALAT CO SA000A0DM9P2 EEC 44,400 SAR 716,925 Communication Services Stock
0.06% RHB BANK BHD MYL1066OO009 RHBBANK 455,459 MYR 715,053 Financials Stock
0.06% SUNNY OPTICAL TECHNOLOGY GROUP CO LTD KYG8586D1097 2382 74,319 HKD 703,681 Information Technology Stock
0.06% CHINA LONGYUAN POWER GROUP CORP LTD CNE100000HD4 916 590,400 HKD 702,015 Utilities Stock
0.06% OOREDOO QPSC QA0007227737 ORDS 176,200 QAR 701,967 Communication Services Stock
0.06% SIAM COMMERCIAL BANK PCL/THE TH0015010018 SCBB/F 183,800 THB 701,593 Financials Stock
0.06% ADARO ENERGY INDONESIA TBK PT ID1000111305 ADRO 2,801,600 IDR 700,764 Energy Stock
0.06% KRUNGTHAI CARD PCL TH0689010Z18 KTC/F 427,300 THB 697,678 Financials Stock
0.06% ANHUI CONCH CEMENT CO LTD CNE1000001W2 914 193,938 HKD 696,684 Materials Stock
0.06% BYD ELECTRONIC INTERNATIONAL CO LTD HK0285041858 285 112,500 HKD 695,079 Information Technology Stock
0.06% JOLLIBEE FOODS CORP PHY4466S1007 JFC 125,230 PHP 689,737 Consumer Discretionary Stock
0.06% HYUNDAI STEEL CO KR7004020004 004020 18,013 KRW 689,548 Materials Stock
0.06% MASRAF AL RAYAN QSC QA000A0M8VM3 MARK 827,807 QAR 688,886 Financials Stock
0.06% MISC BHD MYL3816OO005 MISC 331,500 MYR 678,758 Industrials Stock
0.06% KOC HOLDING AS TRAKCHOL91Q8 KCHOL 93,492 TRY 675,316 Industrials Stock
0.06% HUNDSUN TECHNOLOGIES INC CNE000001GD5 600570 111,911 CNY 675,175 Information Technology Stock
0.06% DOOSAN ENERBILITY CO LTD KR7034020008 034020 40,728 KRW 673,275 Industrials Stock
0.06% SM PRIME HOLDINGS INC PHY8076N1120 SMPH 927,500 PHP 672,361 Real Estate Stock
0.06% BANK OF COMMUNICATIONS CO LTD CNE1000000S2 601328 625,900 CNY 669,749 Financials Stock
0.06% 3SBIO INC KYG8875G1029 1530 591,017 HKD 669,561 Health Care Stock
0.05% TIM SA/BRAZIL BRTIMSACNOR5 TIMS3 164,629 BRL 662,385 Communication Services Stock
0.05% CHINA RESOURCES GAS GROUP LTD BMG2113B1081 1193 167,400 HKD 661,241 Utilities Stock
0.05% ULTRAPAR PARTICIPACOES SA BRUGPAACNOR8 UGPA3 130,482 BRL 661,092 Energy Stock
0.05% XINYI SOLAR HOLDINGS LTD KYG9829N1025 968 653,800 HKD 660,484 Information Technology Stock
0.05% SIEMENS LTD INE003A01024 SIEM 11,000 INR 659,920 Industrials Stock
0.05% CIA SIDERURGICA NACIONAL SA BRCSNAACNOR6 CSNA3 200,900 BRL 659,035 Materials Stock
0.05% AMBUJA CEMENTS LTD INE079A01024 ACEM 94,700 INR 657,170 Materials Stock
0.05% MONETA MONEY BANK AS CZ0008040318 MONET 132,552 CZK 653,220 Financials Stock
0.05% AYALA LAND INC PHY0488F1004 ALI 916,300 PHP 647,503 Real Estate Stock
0.05% ADANI ENTERPRISES LTD INE423A01024 ADE 16,400 INR 646,443 Industrials Stock
0.05% SINOPHARM GROUP CO LTD CNE100000FN7 1099 163,896 HKD 646,259 Health Care Stock
0.05% S-OIL CORP KR7010950004 010950 8,144 KRW 646,246 Energy Stock
0.05% WALSIN LIHWA CORP TW0001605004 1605 416,000 TWD 645,454 Industrials Stock
0.05% GUANGZHOU BAIYUNSHAN PHARMACEUTICAL HOLDINGS CO LTD CNE000001733 600332 109,900 CNY 643,949 Health Care Stock
0.05% THAI OIL PCL TH0796010013 TOP/F 341,200 THB 641,572 Energy Stock
0.05% POU CHEN CORP TW0009904003 9904 532,000 TWD 641,520 Consumer Discretionary Stock
0.05% SANY HEAVY INDUSTRY CO LTD CNE000001F70 600031 216,600 CNY 638,974 Industrials Stock
0.05% PAGE INDUSTRIES LTD INE761H01022 PAG 1,000 INR 638,143 Consumer Discretionary Stock
0.05% CHINA INTERNATIONAL CAPITAL CORP LTD CNE100002359 3908 256,544 HKD 635,833 Financials Stock
0.05% INDIAN RAILWAY CATERING & TOURISM CORP LTD INE335Y01020 IRCTC 57,200 INR 634,752 Industrials Stock
0.05% BOC AVIATION LTD SG9999015267 2588 67,200 HKD 633,210 Industrials Stock
0.05% FORD OTOMOTIV SANAYI AS TRAOTOSN91H6 FROTO 15,200 TRY 632,960 Consumer Discretionary Stock
0.05% DABUR INDIA LTD INE016A01026 DABUR 70,200 INR 631,165 Consumer Staples Stock
0.05% SAMSUNG SECURITIES CO LTD KR7016360000 016360 17,060 KRW 630,793 Financials Stock
0.05% TRENT LTD INE849A01020 TRENT 18,500 INR 629,642 Consumer Discretionary Stock
0.05% AMOREPACIFIC CORP KR7090430000 090430 5,144 KRW 629,631 Consumer Staples Stock
0.05% WOOLWORTHS HOLDINGS LTD/SOUTH AFRICA ZAE000063863 WHL 129,242 ZAR 627,519 Consumer Discretionary Stock
0.05% NATIONAL BANK OF GREECE SA GRS003003035 ETE 81,600 EUR 624,676 Financials Stock
0.05% MOTHERSON SUMI WIRING INDIA LTD INE0FS801015 MSUMI 598,193 INR 624,601 Consumer Discretionary Stock
0.05% CHINA OILFIELD SERVICES LTD CNE1000002P4 2883 384,160 HKD 623,938 Energy Stock
0.05% YUNNAN BAIYAO GROUP CO LTD CNE0000008X7 000538 62,640 CNY 623,646 Health Care Stock
0.05% HYBE CO LTD KR7352820005 352820 2,600 KRW 622,636 Communication Services Stock
0.05% TINGYI CAYMAN ISLANDS HOLDING CORP KYG8878S1030 322 327,318 HKD 621,620 Consumer Staples Stock
0.05% CHAROEN POKPHAND INDONESIA TBK PT ID1000117708 CPIN 1,300,500 IDR 619,714 Consumer Staples Stock
0.05% SHENZHEN MINDRAY BIO-MEDICAL ELECTRONICS CO LTD CNE100003G67 300760 12,300 CNY 618,685 Health Care Stock
0.05% AIER EYE HOSPITAL GROUP CO LTD CNE100000GR6 300015 183,269 CNY 618,099 Health Care Stock
0.05% MANILA ELECTRIC CO PHY5764J1483 MER 69,640 PHP 615,287 Utilities Stock
0.05% TATA ELXSI LTD INE670A01012 TELX 5,200 INR 613,063 Information Technology Stock
0.05% SICHUAN NEW ENERGY POWER CO LTD CNE0000014Z0 000155 277,200 CNY 612,510 Industrials Stock
0.05% CHINA HONGQIAO GROUP LTD KYG211501005 1378 463,400 HKD 611,903 Materials Stock
0.05% FORMOSA PETROCHEMICAL CORP TW0006505001 6505 180,000 TWD 610,460 Energy Stock
0.05% CHINA PACIFIC INSURANCE GROUP CO LTD CNE1000008M8 601601 113,500 CNY 609,888 Financials Stock
0.05% NESTLE MALAYSIA BHD MYL4707OO005 NESZ 16,600 MYR 608,281 Consumer Staples Stock
0.05% CHINA LITERATURE LTD KYG2121R1039 772 122,600 HKD 607,824 Communication Services Stock
0.05% RABIGH REFINING & PETROCHEMICAL CO SA120GAH5617 PETROR 152,048 SAR 595,980 Energy Stock
0.05% KAKAOBANK CORP KR7323410001 323410 25,300 KRW 594,324 Financials Stock
0.05% BRITANNIA INDUSTRIES LTD INE216A01030 BRIT 8,000 INR 592,782 Consumer Staples Stock
0.05% VIBRA ENERGIA SA BRVBBRACNOR1 VBBR3 115,900 BRL 592,535 Consumer Discretionary Stock
0.05% INDORAMA VENTURES PCL TH1027010012 IVL/F 610,700 THB 590,915 Materials Stock
0.05% SILERGY CORP KYG8190F1028 6415 46,000 TWD 590,192 Information Technology Stock
0.05% POLY DEVELOPMENTS AND HOLDINGS GROUP CO LTD CNE000001ND1 600048 248,000 CNY 587,494 Real Estate Stock
0.05% CHINA YANGTZE POWER CO LTD CNE000001G87 600900 141,778 CNY 586,479 Utilities Stock
0.05% ECOPETROL SA COC04PA00016 ECOPETL 742,529 COP 584,600 Energy Stock
0.05% BANCO DEL BAJIO SA MX41BB000000 BBAJIOO 136,200 MXN 579,687 Financials Stock
0.05% CHINA MERCHANTS BANK CO LTD CNE000001B33 600036 94,800 CNY 579,579 Financials Stock
0.05% WEICHAI POWER CO LTD CNE1000004L9 2338 313,300 HKD 577,391 Industrials Stock
0.05% ALDAR PROPERTIES PJSC AEA002001013 ALDAR 270,700 AED 576,686 Real Estate Stock
0.05% OIL & NATURAL GAS CORP LTD INE213A01029 ONGC 184,100 INR 576,361 Energy Stock
0.05% SHANXI XINGHUACUN FEN WINE FACTORY CO LTD CNE000000DH5 600809 12,800 CNY 576,181 Consumer Staples Stock
0.05% DONGFENG MOTOR GROUP CO LTD CNE100000312 489 1,075,400 HKD 574,960 Consumer Discretionary Stock
0.05% ASELSAN ELEKTRONIK SANAYI VE TICARET AS TRAASELS91H2 ASELS 284,220 TRY 574,439 Industrials Stock
0.05% ALLEGRO.EU SA LU2237380790 ALE 57,200 PLN 571,368 Consumer Discretionary Stock
0.05% INTOUCH HOLDINGS PCL TH0201A10Y19 INTUCH/F 207,000 THB 569,058 Communication Services Stock
0.05% AIRPORTS OF THAILAND PCL TH0765010Z16 AOT/F 218,300 THB 567,753 Industrials Stock
0.05% NOVATEK MICROELECTRONICS CORP TW0003034005 3034 31,700 TWD 564,908 Information Technology Stock
0.05% CHINA STATE CONSTRUCTION INTERNATIONAL HOLDINGS LTD KYG216771363 3311 394,207 HKD 563,642 Industrials Stock
0.05% ABSA GROUP LTD ZAE000255915 ABG 45,044 ZAR 562,731 Financials Stock
0.05% BANK OF NINGBO CO LTD CNE1000005P7 002142 111,800 CNY 559,202 Financials Stock
0.05% LONGFOR GROUP HOLDINGS LTD KYG5635P1090 960 232,840 HKD 558,979 Real Estate Stock
0.05% GANFENG LITHIUM GROUP CO LTD CNE100000SF6 002460 67,060 CNY 556,797 Materials Stock
0.05% TAIWAN CEMENT CORP TW0001101004 1101 397,812 TWD 556,667 Materials Stock
0.05% ACER INC TW0002353000 2353 360,786 TWD 553,648 Information Technology Stock
0.05% WUXI APPTEC CO LTD CNE100003F19 2359 34,200 HKD 552,788 Health Care Stock
0.05% BANCO DO BRASIL SA BRBBASACNOR3 BBAS3 43,297 BRL 551,983 Financials Stock
0.05% NANYA TECHNOLOGY CORP TW0002408002 2408 198,453 TWD 549,864 Information Technology Stock
0.05% BANDHAN BANK LTD INE545U01014 BANDHAN 133,368 INR 548,101 Financials Stock
0.05% SM INVESTMENTS CORP PHY806761029 SM 27,035 PHP 547,814 Industrials Stock
0.05% SRF LTD INE647A01010 SRF 14,900 INR 547,645 Materials Stock
0.05% BANCO BRADESCO SA BRBBDCACNOR1 BBDC3 159,648 BRL 546,144 Financials Stock
0.05% CHINA GAS HOLDINGS LTD BMG2109G1033 384 427,400 HKD 546,006 Utilities Stock
0.05% SUNGROW POWER SUPPLY CO LTD CNE1000018M7 300274 32,700 CNY 544,940 Industrials Stock
0.05% MUANGTHAI CAPITAL PCL TH6068010Y10 MTC/F 407,400 THB 544,132 Financials Stock
0.05% ABB INDIA LTD INE117A01022 ABB 8,100 INR 543,307 Industrials Stock
0.04% H WORLD GROUP LTD US44332N1063 HTHT 10,114 USD 541,663 Consumer Discretionary Stock
0.04% JIANGXI COPPER CO LTD CNE0000019P0 600362 151,400 CNY 541,553 Materials Stock
0.04% BANK OF COMMUNICATIONS CO LTD CNE100000205 3328 656,995 HKD 539,668 Financials Stock
0.04% PING AN HEALTHCARE AND TECHNOLOGY CO LTD KYG711391022 1833 171,200 HKD 538,818 Consumer Staples Stock
0.04% INVENTEC CORP TW0002356003 2356 257,278 TWD 537,006 Information Technology Stock
0.04% WANT WANT CHINA HOLDINGS LTD KYG9431R1039 151 606,600 HKD 536,992 Consumer Staples Stock
0.04% IMPALA PLATINUM HOLDINGS LTD ZAE000083648 IMP 75,701 ZAR 534,719 Materials Stock
0.04% INTERGLOBE AVIATION LTD INE646L01027 INDIGO 13,700 INR 533,355 Industrials Stock
0.04% BILIBILI INC KYG1098A1013 9626 28,200 HKD 528,988 Communication Services Stock
0.04% GRASIM INDUSTRIES LTD INE047A01021 GRASIM 16,585 INR 527,934 Materials Stock
0.04% KOREAN AIR LINES CO LTD KR7003490000 003490 24,119 KRW 527,815 Industrials Stock
0.04% NORTHAM PLATINUM HOLDINGS LTD ZAE000298253 NPH 63,900 ZAR 527,046 Materials Stock
0.04% UPL LTD INE628A01036 UPLL 52,300 INR 526,768 Materials Stock
0.04% INDIAN HOTELS CO LTD INE053A01029 IH 78,300 INR 526,360 Consumer Discretionary Stock
0.04% SHANGHAI PUDONG DEVELOPMENT BANK CO LTD CNE0000011B7 600000 397,500 CNY 525,112 Financials Stock
0.04% ADVANCED PETROCHEMICAL CO SA000A0LE310 APPC 36,152 SAR 525,083 Materials Stock
0.04% SICHUAN CHUANTOU ENERGY CO LTD CNE000000BQ0 600674 189,500 CNY 521,444 Utilities Stock
0.04% GANFENG LITHIUM GROUP CO LTD CNE1000031W9 1772 93,680 HKD 519,715 Materials Stock
0.04% RUENTEX DEVELOPMENT CO LTD TW0009945006 9945 349,587 TWD 517,784 Real Estate Stock
0.04% MARICO LTD INE196A01026 MRCO 56,200 INR 516,735 Consumer Staples Stock
0.04% YANG MING MARINE TRANSPORT CORP TW0002609005 2609 269,500 TWD 514,652 Industrials Stock
0.04% REMGRO LTD ZAE000026480 REM 48,215 ZAR 513,523 Financials Stock
0.04% EVE ENERGY CO LTD CNE100000GS4 300014 61,098 CNY 513,029 Industrials Stock
0.04% ASSET WORLD CORP PCL TH9436010010 AWC/F 3,531,100 THB 511,603 Consumer Discretionary Stock
0.04% EMIRATES NBD BANK PJSC AEE000801010 EMIRATES 77,700 AED 511,563 Financials Stock
0.04% HYUNDAI ENGINEERING & CONSTRUCTION CO LTD KR7000720003 000720 14,062 KRW 510,871 Industrials Stock
0.04% HANSOH PHARMACEUTICAL GROUP CO LTD KYG549581067 3692 278,000 HKD 510,390 Health Care Stock
0.04% SBI CARDS & PAYMENT SERVICES LTD INE018E01016 SBICARD 39,300 INR 509,586 Financials Stock
0.04% HYUNDAI MOTOR CO PFD KR7005382007 - 4,755 KRW 506,767 Consumer Discretionary Stock
0.04% MESAIEED PETROCHEMICAL HOLDING CO QA000VSUG130 MPHC 731,600 QAR 506,350 Materials Stock
0.04% PTT GLOBAL CHEMICAL PCL TH1074010014 PTTGC/F 393,600 THB 505,244 Materials Stock
0.04% YANTAI JEREH OILFIELD SERVICES GROUP CO LTD CNE100000L55 002353 85,100 CNY 501,890 Energy Stock
0.04% GREAT WALL MOTOR CO LTD CNE100000338 2333 311,800 HKD 501,022 Consumer Discretionary Stock
0.04% SHANGHAI BAOSIGHT SOFTWARE CO LTD CNE000000C66 600845 59,160 CNY 498,681 Information Technology Stock
0.04% CHINA TAIPING INSURANCE HOLDINGS CO LTD HK0000055878 966 368,200 HKD 495,022 Financials Stock
0.04% OPAP SA GRS419003009 OPAP 21,690 EUR 493,843 Consumer Discretionary Stock
0.04% KOREA ELECTRIC POWER CORP KR7015760002 015760 27,176 KRW 491,124 Utilities Stock
0.04% BIM BIRLESIK MAGAZALAR AS TREBIMM00018 BIMAS 36,246 TRY 490,812 Consumer Staples Stock
0.04% SHANGHAI PHARMACEUTICALS HOLDING CO LTD CNE1000012B3 2607 232,000 HKD 490,607 Health Care Stock
0.04% HLB INC KR7028300002 028300 16,314 KRW 490,197 Health Care Stock
0.04% DISCOVERY LTD ZAE000022331 DSY 49,690 ZAR 489,537 Financials Stock
0.04% LG INNOTEK CO LTD KR7011070000 011070 1,990 KRW 489,486 Information Technology Stock
0.04% LOTTE CHEMICAL CORP KR7011170008 011170 3,547 KRW 489,306 Materials Stock
0.04% HUA HONG SEMICONDUCTOR LTD HK0000218211 1347 143,000 HKD 489,229 Information Technology Stock
0.04% BANCO SANTANDER BRASIL SA BRSANBCDAM13 SANB11 68,786 BRL 484,192 Financials Stock
0.04% SAMSUNG FIRE & MARINE INSURANCE CO LTD KR7000810002 000810 1,844 KRW 482,366 Financials Stock
0.04% BB SEGURIDADE PARTICIPACOES SA BRBBSEACNOR5 BBSE3 57,069 BRL 481,287 Financials Stock
0.04% WANHUA CHEMICAL GROUP CO LTD CNE0000016J9 600309 29,100 CNY 481,106 Materials Stock
0.04% SICHUAN ROAD AND BRIDGE GROUP CO LTD CNE000001DQ4 600039 298,060 CNY 480,449 Industrials Stock
0.04% YAPI VE KREDI BANKASI AS TRAYKBNK91N6 YKBNK 525,700 TRY 478,779 Financials Stock
0.04% BANQUE SAUDI FRANSI SA0007879782 BSFR 36,000 SAR 475,906 Financials Stock
0.04% HARMONY GOLD MINING CO LTD ZAE000015228 HAR 93,100 ZAR 475,798 Materials Stock
0.04% TONGWEI CO LTD CNE000001GS3 600438 78,300 CNY 469,681 Information Technology Stock
0.04% UNITED SPIRITS LTD INE854D01024 UNSP 28,500 INR 467,981 Consumer Staples Stock
0.04% CHINA LIFE INSURANCE CO LTD CNE1000002L3 2628 218,746 HKD 462,615 Financials Stock
0.04% CATCHER TECHNOLOGY CO LTD TW0002474004 2474 60,000 TWD 461,809 Information Technology Stock
0.04% EVERBRIGHT SECURITIES CO LTD CNE100000FD8 601788 149,300 CNY 460,711 Financials Stock
0.04% CELLTRION PHARM INC KR7068760008 068760 6,838 KRW 459,823 Health Care Stock
0.04% ZAI LAB LTD US98887Q1040 ZLAB 13,900 USD 458,965 Health Care Stock
0.04% QATAR ELECTRICITY & WATER CO QSC QA0006929812 QEWS 70,000 QAR 458,639 Utilities Stock
0.04% LOJAS RENNER SA BRLRENACNOR1 LREN3 126,322 BRL 457,397 Consumer Discretionary Stock
0.04% JIANGSU HENGRUI PHARMACEUTICALS CO LTD CNE0000014W7 600276 54,460 CNY 456,434 Health Care Stock
0.04% CHONGQING ZHIFEI BIOLOGICAL PRODUCTS CO LTD CNE100000V20 300122 50,100 CNY 453,399 Health Care Stock
0.04% WOORI FINANCIAL GROUP INC KR7316140003 316140 36,439 KRW 450,786 Financials Stock
0.04% GF SECURITIES CO LTD CNE100001TQ9 1776 246,504 HKD 447,392 Financials Stock
0.04% CCR SA BRCCROACNOR2 CCRO3 128,372 BRL 447,129 Industrials Stock
0.04% ZOMATO LTD INE758T01015 ZOMATO 268,500 INR 442,108 Consumer Discretionary Stock
0.04% SCB X PCL THA790010013 SCB/F 115,700 THB 441,645 Financials Stock
0.04% NINE DRAGONS PAPER HOLDINGS LTD BMG653181005 2689 580,019 HKD 440,885 Materials Stock
0.04% E INK HOLDINGS INC TW0008069006 8069 58,000 TWD 440,636 Information Technology Stock
0.04% REC LTD INE020B01018 RECL 93,000 INR 437,762 Financials Stock
0.04% SAMSUNG SDS CO LTD KR7018260000 018260 3,221 KRW 436,535 Information Technology Stock
0.04% PPB GROUP BHD MYL4065OO008 PEP 97,200 MYR 435,338 Consumer Staples Stock
0.04% AUO CORP TW0002409000 2409 627,118 TWD 433,222 Information Technology Stock
0.04% AVICOPTER PLC CNE0000015V6 600038 61,200 CNY 431,009 Industrials Stock
0.04% COUNTRY GARDEN SERVICES HOLDINGS CO LTD KYG2453A1085 6098 310,667 HKD 428,703 Real Estate Stock
0.04% HUATAI SECURITIES CO LTD CNE100000LQ8 601688 144,400 CNY 428,358 Financials Stock
0.04% GIANT MANUFACTURING CO LTD TW0009921007 9921 57,000 TWD 428,126 Consumer Discretionary Stock
0.04% CD PROJEKT SA PLOPTTC00011 CDR 10,996 PLN 427,529 Communication Services Stock
0.04% MPHASIS LTD INE356A01018 MPHL 10,894 INR 424,293 Information Technology Stock
0.03% ZHONGSHENG GROUP HOLDINGS LTD KYG9894K1085 881 109,900 HKD 420,218 Consumer Discretionary Stock
0.03% ORION CORP/REPUBLIC OF KOREA KR7271560005 271560 3,225 KRW 416,385 Consumer Staples Stock
0.03% JG SUMMIT HOLDINGS INC PHY444251177 JGS 457,201 PHP 415,280 Industrials Stock
0.03% SONGCHENG PERFORMANCE DEVELOPMENT CO LTD CNE100000XG4 300144 182,520 CNY 414,728 Consumer Discretionary Stock
0.03% ICICI LOMBARD GENERAL INSURANCE CO LTD INE765G01017 ICICIGI 19,400 INR 413,433 Financials Stock
0.03% HAITONG SECURITIES CO LTD CNE1000019K9 6837 504,806 HKD 410,379 Financials Stock
0.03% KUALA LUMPUR KEPONG BHD MYL2445OO004 KLK 66,400 MYR 410,220 Consumer Staples Stock
0.03% BYD CO LTD CNE100001526 002594 9,300 CNY 409,842 Consumer Discretionary Stock
0.03% ZHANGZHOU PIENTZEHUANG PHARMACEUTICAL CO LTD CNE000001F21 600436 8,000 CNY 408,670 Health Care Stock
0.03% NEPI ROCKCASTLE NV NL0015000RT3 NRP 54,461 ZAR 406,248 Real Estate Stock
0.03% KOREA ZINC CO LTD KR7010130003 010130 800 KRW 406,008 Materials Stock
0.03% GUANGZHOU AUTOMOBILE GROUP CO LTD CNE100000Q35 2238 606,800 HKD 405,033 Consumer Discretionary Stock
0.03% BARITO PACIFIC TBK PT ID1000085707 BRPT 3,543,135 IDR 404,669 Materials Stock
0.03% MUYUAN FOODSTUFF CO LTD CNE100001RQ3 002714 57,434 CNY 404,339 Consumer Staples Stock
0.03% COMMERCIAL BANK PSQC/THE QA0007227752 CBQK 200,000 QAR 403,081 Financials Stock
0.03% CONTAINER CORP OF INDIA LTD INE111A01025 CCRI 34,600 INR 402,111 Industrials Stock
0.03% HD KOREA SHIPBUILDING & OFFSHORE ENGINEERING CO LTD KR7009540006 009540 3,596 KRW 401,616 Industrials Stock
0.03% NEW HOPE LIUHE CO LTD CNE000000VB0 000876 195,200 CNY 401,162 Consumer Staples Stock
0.03% BANK OF NANJING CO LTD CNE100000627 601009 267,900 CNY 400,665 Financials Stock
0.03% ORBIA ADVANCE CORP SAB DE CV MX01OR010004 ORBIA* 142,080 MXN 400,632 Materials Stock
0.03% 37 INTERACTIVE ENTERTAINMENT NETWORK TECHNOLOGY GROUP CO LTD CNE1000010N2 002555 98,500 CNY 400,590 Communication Services Stock
0.03% MOL HUNGARIAN OIL & GAS PLC HU0000153937 MOL 38,895 HUF 400,551 Energy Stock
0.03% SMOORE INTERNATIONAL HOLDINGS LTD KYG8245V1023 6969 325,700 HKD 400,125 Consumer Staples Stock
0.03% TUBE INVESTMENTS OF INDIA LTD INE974X01010 TIINDIA 8,200 INR 399,949 Consumer Discretionary Stock
0.03% CHINA PACIFIC INSURANCE GROUP CO LTD CNE1000009Q7 2601 118,200 HKD 398,816 Financials Stock
0.03% ADANI PORTS & SPECIAL ECONOMIC ZONE LTD INE742F01042 ADSEZ 29,500 INR 398,507 Industrials Stock
0.03% DB INSURANCE CO LTD KR7005830005 005830 4,382 KRW 394,183 Financials Stock
0.03% SF HOLDING CO LTD CNE100000L63 002352 51,300 CNY 392,592 Industrials Stock
0.03% HYUNDAI MIPO DOCKYARD CO LTD KR7010620003 010620 4,700 KRW 392,466 Industrials Stock
0.03% COSCO SHIPPING HOLDINGS CO LTD CNE100000601 601919 214,200 CNY 391,102 Industrials Stock
0.03% JUBILANT FOODWORKS LTD INE797F01020 JUBI 44,900 INR 391,015 Consumer Discretionary Stock
0.03% VODACOM GROUP LTD ZAE000132577 VOD 51,500 ZAR 389,939 Communication Services Stock
0.03% PING AN INSURANCE GROUP CO OF CHINA LTD CNE000001R84 601318 42,800 CNY 388,657 Financials Stock
0.03% CHINA CITIC BANK CORP LTD CNE1000001Q4 998 609,804 HKD 384,620 Financials Stock
0.03% WENS FOODSTUFFS GROUP CO LTD CNE100002508 300498 118,680 CNY 383,611 Consumer Staples Stock
0.03% NAURA TECHNOLOGY GROUP CO LTD CNE100000ML7 002371 8,500 CNY 382,036 Information Technology Stock
0.03% HINDUSTAN PETROLEUM CORP LTD INE094A01015 HPCL 91,500 INR 381,436 Energy Stock
0.03% HD HYUNDAI CO LTD KR7267250009 267250 5,705 KRW 380,046 Energy Stock
0.03% LG CHEM LTD PFD KR7051911006 - 1,208 KRW 379,176 Materials Stock
0.03% DIALOG GROUP BHD MYL7277OO006 DLG 615,600 MYR 377,360 Energy Stock
0.03% ADVANCED INFO SERVICE PCL TH0268010Z11 ADVANC/F 44,445 THB 377,260 Communication Services Stock
0.03% CENTRAIS ELETRICAS BR PFD BRELETACNPB7 - 34,600 BRL 377,250 Utilities Stock
0.03% CJ CHEILJEDANG CORP KR7097950000 097950 1,221 KRW 376,515 Consumer Staples Stock
0.03% SHREE CEMENT LTD INE070A01015 SRCM 900 INR 375,937 Materials Stock
0.03% TURKCELL ILETISIM HIZMETLERI AS TRATCELL91M1 TCELL 141,170 TRY 372,443 Communication Services Stock
0.03% GODREJ CONSUMER PRODUCTS LTD INE102D01028 GCPL 22,854 INR 369,934 Consumer Staples Stock
0.03% ADANI POWER LTD INE814H01011 ADANI 60,100 INR 369,352 Utilities Stock
0.03% SAMSUNG ENGINEERING CO LTD KR7028050003 028050 12,022 KRW 365,870 Industrials Stock
0.03% PETRONET LNG LTD INE347G01014 PLNG/F 93,100 INR 365,755 Energy Stock
0.03% EXXARO RESOURCES LTD ZAE000084992 EXX 29,573 ZAR 365,359 Energy Stock
0.03% LG DISPLAY CO LTD KR7034220004 034220 27,676 KRW 365,025 Information Technology Stock
0.03% SAUDI AWWAL BANK SA0007879089 SABB 29,200 SAR 364,834 Financials Stock
0.03% GRUPO TELEVISA SAB MXP4987V1378 TLEVICPO 439,542 MXN 362,093 Communication Services Stock
0.03% PEARL ABYSS CORP KR7263750002 263750 7,700 KRW 361,012 Communication Services Stock
0.03% CHINA NATIONAL BUILDING MATERIAL CO LTD CNE1000002N9 3323 509,800 HKD 360,452 Materials Stock
0.03% CENCOSUD SA CL0000000100 CENCOSUD 139,500 CLP 359,272 Consumer Staples Stock
0.03% AECC AVIATION POWER CO LTD CNE000000JW1 600893 51,500 CNY 356,012 Industrials Stock
0.03% CIA ENERGETICA DE MIN PFD BRCMIGACNPR3 - 105,881 BRL 355,058 Utilities Stock
0.03% PLDT INC PHY7072Q1032 TEL 12,405 PHP 350,280 Communication Services Stock
0.03% ZHEJIANG EXPRESSWAY CO LTD CNE1000004S4 576 345,963 HKD 350,089 Industrials Stock
0.03% FIBERHOME TELECOMMUNICATION TECHNOLOGIES CO LTD CNE0000018P2 600498 96,000 CNY 349,381 Information Technology Stock
0.03% KOREA INVESTMENT HOLDINGS CO LTD KR7071050009 071050 6,509 KRW 347,730 Financials Stock
0.03% KIMBERLY-CLARK DE MEXICO SAB DE CV MXP606941179 KIMBERA 126,077 MXN 340,965 Consumer Staples Stock
0.03% MIRAE ASSET SECURITIES CO LTD KR7006800007 006800 52,407 KRW 340,108 Financials Stock
0.03% EAST BUY HOLDING LTD KYG5313A1013 1797 53,000 HKD 337,906 Consumer Discretionary Stock
0.03% CSC FINANCIAL CO LTD CNE1000031T5 601066 73,800 CNY 337,702 Financials Stock
0.03% POWER FINANCE CORP LTD INE134E01011 POWF 81,500 INR 336,495 Financials Stock
0.03% ALIBABA HEALTH INFORMATION TECHNOLOGY LTD BMG0171K1018 241 398,000 HKD 336,018 Consumer Staples Stock
0.03% KRAFTON INC KR7259960003 259960 2,200 KRW 331,794 Communication Services Stock
0.03% UNIVERSAL ROBINA CORP PHY9297P1004 URC 115,660 PHP 329,905 Consumer Staples Stock
0.03% REINET INVESTMENTS SCA LU0383812293 RNI 11,053 ZAR 328,309 Financials Stock
0.03% COWAY CO LTD KR7021240007 021240 7,722 KRW 320,240 Consumer Discretionary Stock
0.03% EMPRESAS CMPC SA CL0000001314 CMPC 128,000 CLP 320,088 Materials Stock
0.03% WALVAX BIOTECHNOLOGY CO LTD CNE100000WN2 300142 73,000 CNY 319,819 Health Care Stock
0.03% HANMI PHARM CO LTD KR7128940004 128940 1,064 KRW 319,143 Health Care Stock
0.03% UNIVERSAL SCIENTIFIC INDUSTRIAL SHANGHAI CO LTD CNE100001BZ8 601231 117,600 CNY 318,832 Information Technology Stock
0.03% NEW ORIENTAL EDUCATION & TECHNOLOGY GROUP INC KYG6470A1168 9901 39,400 HKD 317,180 Consumer Discretionary Stock
0.03% INDOFOOD SUKSES MAKMUR TBK PT ID1000057003 INDF 544,128 IDR 316,577 Consumer Staples Stock
0.03% LG H&H CO LTD KR7051900009 051900 700 KRW 313,073 Consumer Staples Stock
0.03% BERGER PAINTS INDIA LTD INE463A01038 BRGR 33,500 INR 311,025 Materials Stock
0.03% GUANGDONG INVESTMENT LTD HK0270001396 270 298,700 HKD 309,506 Utilities Stock
0.03% SHANDONG WEIGAO GROUP MEDICAL POLYMER CO LTD CNE100000171 1066 260,000 HKD 309,442 Health Care Stock
0.03% HUA NAN FINANCIAL HOLDINGS CO LTD TW0002880002 2880 358,642 TWD 309,358 Financials Stock
0.03% ICICI PRUDENTIAL LIFE INSURANCE CO LTD INE726G01019 IPRU 33,300 INR 307,110 Financials Stock
0.03% CHINA RESOURCES CEMENT HOLDINGS LTD KYG2113L1068 1313 883,737 HKD 305,495 Materials Stock
0.03% MICROPORT SCIENTIFIC CORP KYG608371046 853 149,000 HKD 304,142 Health Care Stock
0.03% INDUSTRIAL BANK OF KOREA KR7024110009 024110 26,829 KRW 302,312 Financials Stock
0.02% UNILEVER INDONESIA TBK PT ID1000095706 UNVR 909,100 IDR 299,000 Consumer Staples Stock
0.02% CELCOMDIGI BHD MYL6947OO005 CDB 236,200 MYR 298,160 Communication Services Stock
0.02% HUATAI SECURITIES CO LTD CNE100001YQ9 6886 171,273 HKD 296,334 Financials Stock
0.02% CHINA RAILWAY GROUP LTD CNE1000007Z2 390 417,406 HKD 291,424 Industrials Stock
0.02% TBEA CO LTD CNE000000RB8 600089 104,650 CNY 288,389 Industrials Stock
0.02% CHINA COMMUNICATIONS SERVICES CORP LTD CNE1000002G3 552 506,000 HKD 288,303 Industrials Stock
0.02% UNITED TRACTORS TBK PT ID1000058407 UNTR 115,460 IDR 286,328 Energy Stock
0.02% CHINA VANKE CO LTD CNE0000000T2 000002 117,500 CNY 285,770 Real Estate Stock
0.02% HUANENG POWER INTERNATIONAL INC CNE1000006Z4 902 434,000 HKD 285,717 Utilities Stock
0.02% INDAH KIAT PULP & PAPER TBK PT ID1000062201 INKP 291,556 IDR 284,284 Materials Stock
0.02% WUXI APPTEC CO LTD CNE1000031K4 603259 17,400 CNY 281,335 Health Care Stock
0.02% MAGAZINE LUIZA SA BRMGLUACNOR2 MGLU3 487,088 BRL 279,031 Consumer Discretionary Stock
0.02% ENEL CHILE SA CL0002266774 ENELCHIL 3,377,900 CLP 278,798 Utilities Stock
0.02% COMPAL ELECTRONICS INC TW0002324001 2324 214,700 TWD 278,540 Information Technology Stock
0.02% TSINGTAO BREWERY CO LTD CNE1000004K1 168 25,200 HKD 278,426 Consumer Staples Stock
0.02% YIHAI INTERNATIONAL HOLDING LTD KYG984191075 1579 119,000 HKD 277,921 Consumer Staples Stock
0.02% FAR EAST HORIZON LTD HK0000077468 3360 283,000 HKD 276,680 Financials Stock
0.02% INDOFOOD CBP SUKSES MAKMUR TBK PT ID1000116700 ICBP 282,700 IDR 275,065 Consumer Staples Stock
0.02% WINGTECH TECHNOLOGY CO LTD CNE000000M72 600745 33,700 CNY 274,141 Information Technology Stock
0.02% GROWTHPOINT PROPERTIES LTD ZAE000179420 GRT 357,642 ZAR 270,525 Real Estate Stock
0.02% NETMARBLE CORP KR7251270005 251270 6,375 KRW 270,018 Communication Services Stock
0.02% SPAR GROUP LTD/THE ZAE000058517 SPP 32,171 ZAR 268,302 Consumer Staples Stock
0.02% YONYOU NETWORK TECHNOLOGY CO LTD CNE0000017Y6 600588 86,060 CNY 266,215 Information Technology Stock
0.02% SK BIOSCIENCE CO LTD KR7302440003 302440 3,900 KRW 264,945 Health Care Stock
0.02% SHENZHEN INTERNATIONAL HOLDINGS LTD BMG8086V1467 152 315,518 HKD 264,203 Industrials Stock
0.02% TRAVELSKY TECHNOLOGY LTD CNE1000004J3 696 112,000 HKD 262,429 Consumer Discretionary Stock
0.02% CHINA CONCH VENTURE HOLDINGS LTD KYG2116J1085 586 225,300 HKD 260,703 Industrials Stock
0.02% DONG-E-E-JIAO CO LTD CNE0000006Y9 000423 28,400 CNY 259,108 Health Care Stock
0.02% TCL ZHONGHUAN RENEWABLE ENERGY TECHNOLOGY CO LTD CNE1000000B8 002129 59,125 CNY 257,031 Information Technology Stock
0.02% NH INVESTMENT & SECURITIES CO LTD KR7005940002 005940 24,969 KRW 256,788 Financials Stock
0.02% NARI TECHNOLOGY CO LTD CNE000001G38 600406 62,160 CNY 256,608 Industrials Stock
0.02% SHANGHAI PHARMACEUTICALS HOLDING CO LTD CNE000000C82 601607 76,200 CNY 256,182 Health Care Stock
0.02% VEDANTA LTD INE205A01025 VEDL 70,302 INR 255,640 Materials Stock
0.02% COUNTRY GARDEN HOLDINGS CO LTD KYG245241032 2007 1,619,933 HKD 250,952 Real Estate Stock
0.02% JIUMAOJIU INTERNATIONAL HOLDINGS LTD KYG5141L1059 9922 135,000 HKD 248,612 Consumer Discretionary Stock
0.02% GT CAPITAL HOLDINGS INC PHY290451046 GTCAP 18,113 PHP 247,876 Industrials Stock
0.02% ANGLO AMERICAN PLATINUM LTD ZAE000013181 AMS 4,797 ZAR 242,916 Materials Stock
0.02% HANKOOK TIRE & TECHNOLOGY CO LTD KR7161390000 161390 6,104 KRW 242,684 Consumer Discretionary Stock
0.02% SHENZHEN INOVANCE TECHNOLOGY CO LTD CNE100000V46 300124 19,500 CNY 242,660 Industrials Stock
0.02% PHARMAESSENTIA CORP TW0006446008 6446 17,000 TWD 240,351 Health Care Stock
0.02% UNIGROUP GUOXIN MICROELECTRONICS CO LTD CNE000001M14 002049 14,800 CNY 240,269 Information Technology Stock
0.02% NEW CHINA LIFE INSURANCE CO LTD CNE1000019Y0 601336 35,000 CNY 240,043 Financials Stock
0.02% SHANXI MEIJIN ENERGY CO LTD CNE0000005J2 000723 182,700 CNY 238,709 Materials Stock
0.02% KUMHO PETROCHEMICAL CO LTD KR7011780004 011780 1,744 KRW 234,705 Materials Stock
0.02% TURKIYE IS BANKASI AS TRAISCTR91N2 ISCTR 184,661 TRY 234,406 Financials Stock
0.02% CHINA NORTHERN RARE EARTH GROUP HIGH-TECH CO LTD CNE000000T18 600111 57,800 CNY 234,191 Materials Stock
0.02% AAC TECHNOLOGIES HOLDINGS INC KYG2953R1149 2018 101,160 HKD 233,722 Information Technology Stock
0.02% ADVANTECH CO LTD TW0002395001 2395 15,966 TWD 232,804 Information Technology Stock
0.02% IHH HEALTHCARE BHD MYL5225OO007 IHH 136,200 MYR 230,567 Health Care Stock
0.02% ZHUZHOU CRRC TIMES ELECTRIC CO LTD CNE1000004X4 3898 49,000 HKD 230,116 Industrials Stock
0.02% CHINA EVERBRIGHT ENVIRONMENT GROUP LTD HK0257001336 257 494,000 HKD 230,098 Industrials Stock
0.02% JMT NETWORK SERVICES PCL TH3925010Z13 JMT/F 128,100 THB 227,435 Financials Stock
0.02% IQIYI INC US46267X1081 IQ 34,900 USD 224,690 Communication Services Stock
0.02% GOERTEK INC CNE100000BP1 002241 74,500 CNY 218,790 Information Technology Stock
0.02% SIME DARBY PLANTATION BHD MYL5285OO001 SDPL 171,000 MYR 212,209 Consumer Staples Stock
0.02% JA SOLAR TECHNOLOGY CO LTD CNE100000SD1 002459 43,904 CNY 210,313 Information Technology Stock
0.02% QATAR FUEL QSC QA0001200771 QFLS 34,000 QAR 209,586 Energy Stock
0.02% EAST MONEY INFORMATION CO LTD CNE100000MD4 300059 73,123 CNY 209,475 Financials Stock
0.02% SHANGHAI INTERNATIONAL AIRPORT CO LTD CNE000000V89 600009 29,425 CNY 207,311 Industrials Stock
0.02% PIRAMAL PHARMA LTD INE0DK501011 PIRPHARM 122,000 INR 203,021 Health Care Stock
0.02% SHANDONG BUCHANG PHARMACEUTICALS CO LTD CNE100002FV6 603858 60,375 CNY 201,229 Health Care Stock
0.02% OUTSURANCE GROUP LTD ZAE000314084 OUT 64,900 ZAR 199,188 Financials Stock
0.02% BHARAT FORGE LTD INE465A01025 BHFC 11,100 INR 198,634 Consumer Discretionary Stock
0.02% SK INNOVATION CO LTD KR7096770003 096770 1,316 KRW 196,960 Energy Stock
0.02% ASIA - POTASH INTERNATIONAL INVESTMENT GUANGZHOU CO LTD CNE000000XS0 000893 37,000 CNY 193,332 Materials Stock
0.02% BARWA REAL ESTATE CO QA000A0KD6J5 BRES 200,000 QAR 192,631 Real Estate Stock
0.02% PETRONAS GAS BHD MYL6033OO004 PTG 39,100 MYR 190,461 Utilities Stock
0.02% LENS TECHNOLOGY CO LTD CNE100001YW7 300433 82,200 CNY 187,897 Information Technology Stock
0.02% AUTOHOME INC US05278C1071 ATHM 4,450 USD 183,442 Communication Services Stock
0.02% FALABELLA SA CLP3880F1085 FALAB 60,300 CLP 183,021 Consumer Discretionary Stock
0.01% SEMEN INDONESIA PERSERO TBK PT ID1000106800 SMGR 316,600 IDR 179,002 Materials Stock
0.01% SHIJIAZHUANG YILING PHARMACEUTICAL CO LTD CNE1000015S0 002603 41,000 CNY 178,957 Health Care Stock
0.01% SHAANXI COAL INDUSTRY CO LTD CNE100001T64 601225 51,900 CNY 178,247 Energy Stock
0.01% COSAN SA BRCSANACNOR6 CSAN3 38,292 BRL 177,349 Energy Stock
0.01% MAXIS BHD MYL6012OO008 MAXIS 150,300 MYR 175,295 Communication Services Stock
0.01% CHINA JINMAO HOLDINGS GROUP LTD HK0817039453 817 956,596 HKD 165,771 Real Estate Stock
0.01% WINBOND ELECTRONICS CORP TW0002344009 2344 152,858 TWD 164,024 Information Technology Stock
0.01% WEIBO CORP US9485961018 WB 9,500 USD 161,808 Communication Services Stock
0.01% POLYMETAL INTERNATIONAL PLC JE00B6T5S470 POLY 44,800 GBP 159,622 Materials Stock
0.01% JIANGXI SPECIAL ELECTRIC MOTOR CO LTD CNE1000007F4 002176 95,500 CNY 157,686 Industrials Stock
0.01% BEIJING ENTERPRISES WATER GROUP LTD BMG0957L1090 371 526,826 HKD 155,881 Utilities Stock
0.01% HYGEIA HEALTHCARE HOLDINGS CO LTD KYG4712E1035 6078 20,400 HKD 154,225 Health Care Stock
0.01% CHINA MINSHENG BANKING CORP LTD CNE100000HF9 1988 331,810 HKD 154,119 Financials Stock
0.01% POSTAL SAVINGS BANK OF CHINA CO LTD CNE1000029W3 1658 220,850 HKD 150,806 Financials Stock
0.01% COCA-COLA FEMSA SAB DE CV MX01KO000002 KOFUBL 14,100 MXN 149,584 Consumer Staples Stock
0.01% EMPRESAS COPEC SA CLP7847L1080 COPEC 15,100 CLP 145,401 Energy Stock
0.01% KINGBOARD HOLDINGS LTD KYG525621408 148 45,942 HKD 139,025 Information Technology Stock
0.01% ZHEN DING TECHNOLOGY HOLDING LTD KYG989221000 4958 33,000 TWD 136,766 Information Technology Stock
0.01% YANKUANG ENERGY GROUP CO LTD CNE000000WV6 600188 35,100 CNY 132,162 Energy Stock
0.01% KALBE FARMA TBK PT ID1000125107 KLBF 841,785 IDR 129,810 Health Care Stock
0.01% UNI-PRESIDENT CHINA HOLDINGS LTD KYG9222R1065 220 132,000 HKD 126,361 Consumer Staples Stock
0.01% PROMOTORA Y OPERADORA DE INFRAESTRUCTURA SAB DE CV MX01PI000005 PINFRA* 10,200 MXN 123,433 Industrials Stock
0.01% BEIJING CAPITAL INTERNATIONAL AIRPORT CO LTD CNE100000221 694 196,000 HKD 123,356 Industrials Stock
0.01% CMOC GROUP LTD CNE100000114 3993 141,000 HKD 122,975 Materials Stock
0.01% GRUPO FINANCIERO INBURSA SAB DE CV MXP370641013 GFINBURO 44,700 MXN 119,355 Financials Stock
0.01% ZHONGAN ONLINE P&C INSURANCE CO LTD CNE100002QY7 6060 28,300 HKD 113,654 Financials Stock
0.01% CHINA TRADITIONAL CHINESE MEDICINE HOLDINGS CO LTD HK0000056256 570 177,813 HKD 112,465 Health Care Stock
0.01% KAKAO GAMES CORP KR7293490009 293490 4,300 KRW 110,092 Communication Services Stock
0.01% SIME DARBY BHD MYL4197OO009 SIME 171,000 MYR 108,742 Industrials Stock
0.01% SINOMINE RESOURCE GROUP CO LTD CNE100001WV3 002738 15,820 CNY 107,103 Materials Stock
0.01% GS HOLDINGS CORP KR7078930005 078930 2,613 KRW 104,557 Industrials Stock
0.01% PAN OCEAN CO LTD KR7028670008 028670 20,842 KRW 104,002 Industrials Stock
0.01% BANK ARTOS INDONESIA TBK PT ID1000136708 ARTO 578,600 IDR 102,554 Financials Stock
0.01% IOI CORP BHD MYL1961OO001 IOI 88,700 MYR 102,097 Consumer Staples Stock
0.01% BGF RETAIL CO LTD KR7282330000 282330 717 KRW 101,724 Consumer Staples Stock
0.01% AMMB HOLDINGS BHD MYL1015OO006 AMM 90,700 MYR 97,041 Financials Stock
0.01% CIA DE MINAS BUENAVENTURA SAA US2044481040 BVN 8,156 USD 94,384 Materials Stock
0.01% HYUNDAI GLOVIS CO LTD KR7086280005 086280 500 KRW 92,776 Industrials Stock
0.01% CJ ENM CO LTD KR7035760008 035760 1,581 KRW 90,526 Communication Services Stock
0.01% CHINA SOUTHERN AIRLINES CO LTD CNE1000002T6 1055 136,373 HKD 89,834 Industrials Stock
0.01% CHINA GALAXY SECURITIES CO LTD CNE100001NT6 6881 127,000 HKD 88,557 Financials Stock
0.01% JOYY INC US46591M1099 YY 1,658 USD 85,823 Communication Services Stock
0.01% POWER FINANCE CORP LTD IN8134E01010 1435214D 20,375 INR 84,124 Financials Stock
0.01% MALAYSIA AIRPORTS HOLDINGS BHD MYL5014OO005 MAHB 40,400 MYR 83,237 Industrials Stock
0.01% HYUNDAI MOTOR CO PFD KR7005381009 - 785 KRW 83,029 Consumer Discretionary Stock
0.01% ABOITIZ EQUITY VENTURES INC PHY0001Z1040 AEV 67,740 PHP 81,614 Industrials Stock
0.01% DO-FLUORIDE CHEMICALS CO LTD CNE100000P85 002407 26,880 CNY 80,219 Materials Stock
0.01% CHINA RARE EARTH RESOURCES AND TECHNOLOGY CO LTD CNE000000WS2 000831 14,300 CNY 76,514 Materials Stock
0.01% DONGYUE GROUP LTD KYG2816P1072 189 74,000 HKD 75,492 Materials Stock
0.01% AIR CHINA LTD CNE1000001S0 753 82,000 HKD 75,095 Industrials Stock
0.01% GENTING MALAYSIA BHD MYL4715OO008 GENM 96,400 MYR 69,695 Consumer Discretionary Stock
0.01% CHINA CONCH ENVIRONMENT PROTECTION HOLDINGS LTD KYG2124M1015 587 225,300 HKD 65,165 Industrials Stock
0.01% GDS HOLDINGS LTD US36165L1089 GDS 4,347 USD 64,652 Information Technology Stock
0.01% AXIATA GROUP BHD MYL6888OO001 AXIATA 89,600 MYR 64,611 Communication Services Stock
0.01% BANCO DE CREDITO E INVERSIONES SA CLP321331116 BCI 1,841 CLP 64,032 Financials Stock
0.01% BERGER PAINTS INDIA LTD IN8463A01029 2307151D 6,700 INR 62,205 - Stock
0.00% CHINA CINDA ASSET MANAGEMENT CO LTD CNE100001QS1 1359 393,000 HKD 53,709 Financials Stock
0.00% ELECTRICITY GENERATING PCL TH0465010005 EGCO 10,400 THB 46,985 Utilities Stock
0.00% COSCO SHIPPING PORTS LTD BMG2442N1048 1199 42,000 HKD 37,157 Industrials Stock
0.00% ENERGY ABSOLUTE PCL TH3545010003 EA 17,900 THB 34,019 Utilities Stock
0.00% AMOREPACIFIC GROUP KR7002790004 002790 1,100 KRW 33,700 Consumer Staples Stock
0.00% GLOW ENERGY PCL TH0834010017 GLOW/F 108,700 THB - Utilities Stock
0.00% HANWHA GALLERIA CORP KR7452260003 452260 28,479 KRW 32,556 Consumer Discretionary Stock
0.00% GRINDROD LTD ZAE000072328 GND 35,534 ZAR 29,359 Industrials Stock
0.00% ACEN CORP PHY1001H1024 ACEN 247,590 PHP 29,174 Utilities Stock
0.00% CIFI HOLDINGS GROUP CO LTD KYG2140A1076 884 388,960 HKD 20,576 Real Estate Stock
0.00% CHINA COM RICH RENE ENE INVEST - - 386,000 HKD 14,394 - Stock
0.00% BRITANNIA INDUSTRIES LTD 5.5% 03Jun2024 INE216A08027 - 379,900 INR 6,234 - Fixed Income
0.00% INTER RAO UES PJSC RU000A0JPNM1 IRAO 46 RUB - Utilities Stock
0.00% PGE POLSKA GRUPA ENERGETYCZNA SA PLPGER000010 PGE 25,000 PLN 58,078 Utilities Stock
0.00% SHANGHAI FOSUN PHARMACEUTICAL GROUP CO LTD CNE100001M79 2196 18,000 HKD 57,347 Health Care Stock
0.00% SUPER HI INTERNATIONAL HOLDING LTD KYG8588S1049 9658 20,900 HKD 55,845 Consumer Discretionary Stock
0.00% SILLAJEN INC KR7215600008 215600 4,136 KRW 20,481 Health Care Stock
0.00% LOCALIZA RENT A CAR SA RIGHT BRRENTD04OR3 RENT1 871 BRL 3,766 - Stock
0.00% SAMSUNG ELECTRO-MECHANICS CO LTD KR7009150004 009150 15 KRW 2,081 Information Technology Stock
0.00% VTB BANK PJSC RU000A0JP5V6 VTBR 1,232,098,400 RUB 1,734 Financials Stock
0.00% BANCO DE CREDITO E INVERSIONES SA CL0002259183 BCIOSA 272 CLP 309 Financials Stock
0.00% MAGNIT PJSC US55953Q2021 MGNT 82,408 USD 11 Consumer Staples Stock
0.00% SURGUTNEFTEGAS PJSC RU0008926258 SNGS 2,649,787 RUB 4 Energy Stock
0.00% GAZPROM PJSC RU0007661625 GAZP 2,546,074 RUB 4 Energy Stock
0.00% SBERBANK OF RUSSIA PJSC RU0009029540 SBER 2,333,786 RUB 3 Financials Stock
0.00% SURGUTNEFTEGAS PJSC PFD RU0009029524 - 1,267,900 RUB 2 Energy Stock
0.00% NOVATEK PJSC US6698881090 NVTK 11,308 USD 2 Energy Stock
0.00% MOBILE TELESYSTEMS PJSC US6074091090 MBT 10,700 USD 1 Communication Services Stock
0.00% UNITED CO RUSAL INTERNATIONAL PJSC RU000A1025V3 RUAL 838,400 RUB 1 Materials Stock
0.00% ALROSA PJSC RU0007252813 ALRS 748,083 RUB 1 Materials Stock
0.00% MOSCOW EXCHANGE MICEX-RTS PJSC RU000A0JR4A1 MOEX 696,990 RUB 1 Financials Stock
0.00% TATNEFT PJSC RU0009033591 TATN 433,606 RUB 1 Energy Stock
0.00% ROSNEFT OIL CO PJSC RU000A0J2Q06 ROSN 248,976 RUB 0 Energy Stock
0.00% MMC NORILSK NICKEL PJSC RU0007288411 GMKN 2,522 USD 0 Materials Stock
0.00% BANPU PCL TH0148A10Z14 BANPU/F 1 THB 0 Energy Stock
0.00% NOVOLIPETSK STEEL PJSC RU0009046452 NLMK 169,495 RUB 0 Materials Stock
0.00% LUKOIL PJSC RU0009024277 LKOH 85,641 RUB 0 Energy Stock
0.00% YANDEX NV NL0009805522 YNDX 74,534 RUB 0 Communication Services Stock
0.00% VK CO LTD US5603172082 VKCO 55,882 RUB 0 Communication Services Stock
0.00% SEVERSTAL PAO RU0009046510 CHMF 48,411 RUB 0 Materials Stock
0.00% POLYMETAL INTERNATIONAL PLC JE00B6T5S470 POLY 30,700 RUB 0 Materials Stock
0.00% TCS GROUP HOLDING PLC US87238U2033 TCSG 23,600 RUB 0 Financials Stock
0.00% OZON HOLDINGS PLC US69269L1044 OZON 12,800 RUB 0 Consumer Discretionary Stock
0.00% MMC NORILSK NICKEL PJSC RU0007288411 GMKN 7,257 RUB 0 Materials Stock
0.00% POLYUS PJSC RU000A0JNAA8 PLZL 6,313 RUB 0 Materials Stock
0.00% UNTRADE.CHONGSING HLDGS - - 1,293,392 HKD - - Stock
0.58% CASH - - 1 CAD 6,932,121 - Cash and Cash Equivalents

Holdings Breakdown

Sector Allocation

has a donut chart divided into 11 ranges. Ranges are: 21.71%, Financials.20.09%, Information Technology.13.26%, Consumer Discretionary.9.67%, Communication Services.8.24%, Materials.6.45%, Industrials.6.34%, Energy.6%, Consumer Staples.3.65%, Health Care.2.67%, Utilities.1.9%, Real Estate.

Geographic Allocation

has a donut chart divided into 10 ranges. Ranges are: 29.63%, China.15.17%, Taiwan.12.27%, India.11.48%, South Korea.5.54%, Brazil.4.35%, Saudi Arabia.3.09%, Russia.2.9%, South Africa.2.59%, Thailand.12.98%, Other.

Download