ACWX logo

ACWX ETF Holdings

All holdings

(total: 1808)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry

TAIWAN SEMICONDUCTOR MANUFACTURING

3.06%-5 M

TENCENT HOLDINGS LTD

1.29%-1 M

SAP

1.08%-191 K

ASML HOLDING NV

1.08%-73 K

NOVO NORDISK CLASS B

1.04%-591 K

ASTRAZENECA PLC

0.83%-284 K

NESTLE SA

0.82%-480 K

ROCHE HOLDING PAR AG

0.82%-129 K

NOVARTIS AG

0.78%-362 K

ALIBABA GROUP HOLDING LTD

0.76%-3 M
SHEL logo

Shell

SHEL
0.75%$199 B1 M$66.10$75.38 MEnergyOil & Gas IntegratedUnited Kingdom

LVMH

0.73%-51 K

TOYOTA MOTOR CORP

0.72%-2 M

HSBC HOLDINGS PLC

0.70%-3 M

SAMSUNG ELECTRONICS LTD

0.65%-879 K

COMMONWEALTH BANK OF AUSTRALIA

0.62%-306 K
0.62%$168 B260 K$118.54$30.79 MFinancial ServicesBanks - DiversifiedCanada

SIEMENS N AG

0.60%-139 K
0.53%$156 B223 K$120.85$26.89 MTechnologySoftware ApplicationCanada

SONY GROUP CORP

0.53%-1 M

UNILEVER PLC

0.53%-457 K

MITSUBISHI UFJ FINANCIAL GROUP INC

0.52%-2 M

SCHNEIDER ELECTRIC

0.50%-100 K

TOTALENERGIES

0.48%-397 K

BHP GROUP LTD

0.47%-930 K

ALLIANZ

0.47%-72 K

HITACHI LTD

0.46%-858 K

SANOFI SA

0.45%-211 K

DEUTSCHE TELEKOM N AG

0.44%-641 K

HDFC BANK LTD

0.41%-1 M
0.40%$107 B601 K$33.59$20.18 MFinancial ServicesBanks - DiversifiedSwitzerland
0.38%$9 B98 K$138.52$13.62 MFinancial ServicesBanks - RegionalUnited States

AIRBUS GROUP

0.38%-108 K

RECRUIT HOLDINGS LTD

0.37%-259 K

LAIR LIQUIDE SOCIETE ANONYME POUR

0.37%-106 K

TORONTO DOMINION

0.37%-322 K

MEITUAN

0.36%-927 K

ENBRIDGE INC

0.35%-400 K
0.35%$129 B28 K$632.44$17.71 MCommunication ServicesInternet Content & InformationLuxembourg

RELX PLC

0.35%-346 K

SUMITOMO MITSUI FINANCIAL GROUP IN

0.35%-701 K

BANCO SANTANDER SA

0.33%-3 M

HERMES INTERNATIONAL

0.33%-5851

SAFRAN SA

0.33%-67 K

ZURICH INSURANCE GROUP AG

0.33%-27 K

BP PLC

0.32%-3 M

ABB LTD

0.32%-289 K

IBERDROLA SA

0.32%-1 M

LOREAL SA

0.32%-44 K

RELIANCE INDUSTRIES LTD

0.32%-1 M

BRITISH AMERICAN TOBACCO

0.30%-369 K

CSL LTD

0.30%-88 K
0.30%$90 B252 K$59.49$14.97 MFinancial ServicesAsset ManagementCanada

XIAOMI CORP

0.30%-3 M

KEYENCE CORP

0.30%-36 K

CHINA CONSTRUCTION BANK CORP H

0.30%-18 M

ESSILORLUXOTTICA SA

0.30%-54 K

NATIONAL AUSTRALIA BANK LTD

0.29%-567 K

TOKYO ELECTRON LTD

0.29%-82 K

SK HYNIX INC

0.29%-102 K

AIA GROUP LTD

0.28%-2 M

NINTENDO LTD

0.28%-192 K

ICICI BANK LTD

0.28%-959 K
GSK logo

GSK

GSK
0.28%$74 B754 K$36.49$27.52 MHealthcareDrug Manufacturers - GeneralUnited Kingdom
0.28%$162 B127 K$116.29$14.73 MConsumer CyclicalInternet RetailIreland

WESTPAC BANKING CORPORATION CORP

0.27%-637 K

INFOSYS LTD

0.27%-614 K

BANK OF MONTREAL

0.27%-134 K

CANADIAN PACIFIC KANSAS CITY LTD

0.27%-172 K

BANCO BILBAO VIZCAYA ARGENTARIA SA

0.26%-1 M

MEDIATEK INC

0.26%-284 K

MUENCHENER RUECKVERSICHERUNGS-GESE

0.26%-24 K

UNICREDIT

0.26%-270 K

LONDON STOCK EXCHANGE GROUP PLC

0.26%-88 K

RIO TINTO PLC

0.26%-205 K

BNP PARIBAS SA

0.26%-187 K

AXA SA

0.25%-323 K

USD CASH

0.25%-12 M

MIZUHO FINANCIAL GROUP INC

0.25%-445 K

CONSTELLATION SOFTWARE INC

0.25%-3697

CANADIAN NATURAL RESOURCES LTD

0.24%-389 K

HON HAI PRECISION INDUSTRY LTD

0.24%-2 M

INTESA SANPAOLO

0.24%-3 M

DBS GROUP HOLDINGS LTD

0.24%-366 K

ROLLS-ROYCE HOLDINGS PLC

0.23%-2 M

BANK OF NOVA SCOTIA

0.23%-228 K

FAST RETAILING LTD

0.23%-36 K

DIAGEO PLC

0.23%-406 K

TOKIO MARINE HOLDINGS INC

0.23%-346 K

SOFTBANK GROUP CORP

0.22%-175 K

INDUSTRIA DE DISENO TEXTIL INDITEX

0.22%-199 K
0.21%$82 B23 K$458.58$10.63 MConsumer CyclicalAuto ManufacturersItaly

ANZ GROUP HOLDINGS LTD

0.21%-551 K

CANADIAN IMPERIAL BANK OF COMMERCE

0.21%-173 K

NATIONAL GRID PLC

0.21%-877 K
0.21%-312 KEnergyOil & Gas Equipment & ServicesCanada

ENEL

0.21%-1 M

SHIN ETSU CHEMICAL LTD

0.21%-333 K

ING GROEP NV

0.20%-603 K

ITOCHU CORP

0.20%-217 K

Holding types

Countries

Sectors