Fund Profile
Key Facts
Fund Ticker | ZEM |
---|---|
Net Assets (Mn) (Sep 29, 2023) |
$ 1,204.94 |
Base Currency | CAD |
Closing Market Price | $ 18.68 |
12-Month Low/High (Market Price) | $ 16.88 / $ 20.20 |
Closing NAV Price (Sep 29, 2023) |
$ 18.7278 |
12-Month Low/High (Price (NAV)) | $ 16.9385 / $ 20.0858 |
Annualized Distribution Yield (Sep 15, 2023) Annualized Distribution Yield: The most recent regular distribution, or expected distribution, (excluding additional year end distributions) annualized for frequency, divided by current NAV. Footnote |
2.82% |
Swap Fee | - |
Counterparty Exposure | - |
Maximum Annual Management Fee | 0.25% |
Management Expense Ratio | 0.28% |
Market Volume | 109,390 |
Distribution Frequency | Annually |
Options Available | No |
Inception Date | Oct 20, 2009 |
Fiscal Year-End | December 31 |
Units Outstanding (000's) | 64,340 |
Index | MSCI Emerging Markets Index CAD |
Market Cap ($Bn) (Aug 31, 2023) |
12,856.82 |
Exchange | TSX |
CUSIP | 05576Y108 |
Eligibility | RRSP/RRIF/RESP/DPSP/TFSA |
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
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Performance Chart
Chart comparing growth of $10,000. From START_DATE to END_DATE. Comparing FUND_1 and FUND_2. For more details, email [email protected] or call 1-800-361-1392.
Performance Details
Fund Total Assets ($Mn) (Sep 29, 2023) |
$ 1,204.94 |
---|---|
Market Price | $ 18.68 |
12-Month Low/High (Market Price) | $ 16.88 / $ 20.20 |
Price (NAV) | $ 18.7278 |
12-Month Low/High (Price (NAV)) | $ 16.9385 / $ 20.0858 |
Distribution Frequency | Annually |
Daily Prices
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 (%) for period ending: Aug 31, 2023
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% |
Aug 31, 2023 |
Calendar Year Performance (%) for period ending: Aug 31, 2023
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% |
Aug 31, 2023 |
Cumulative Performance (%) for period ending: Aug 31, 2023
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% |
Aug 31, 2023 |
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
Distribution History
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 | - | - | - |
Year to Date | 0.000000 | 0.000000 | 0.000000 |
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
Daily Holdings
As of Sep 29, 2023
99.42%
0.58%
798
$ 1,204,944,078.00
Download Holdings (Excel)
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.
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.