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DEHP ETF Holdings

All holdings

(total: 785)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry

TAIWAN SEMICONDUCTOR MANU

7.37%-492 K

TENCENT HOLDINGS LTD

5.34%-216 K
2.14%$135 B48 K$97.05$4.63 MConsumer CyclicalInternet RetailIreland

INFOSYS LTD

1.90%-180 K

SK HYNIX INC

1.57%-29 K

SAMSUNG ELECTRONICS CO LT

1.32%-3156

BHARTI AIRTEL LTD

1.32%-152 K

KUAISHOU TECHNOLOGY

1.26%-521 K

ANTA SPORTS PRODUCTS LTD

1.22%-269 K

MEDIATEK INC

1.20%-63 K

TATA CONSULTANCY SERVICES

1.13%-50 K

BYD CO LTD

1.11%-72 K

ASE TECHNOLOGY HOLDING CO

1.10%-487 K

LENOVO GROUP LTD

1.00%-2 M

ZIJIN MINING GROUP CO LTD

0.94%-1 M

SAUDI ARABIAN OIL CO

0.90%-262 K

TATA MOTORS LTD

0.85%-205 K

PETROCHINA CO LTD

0.79%-2 M

PETROLEO BRASILEIRO SA

0.79%-261 K

PETROLEO BRASILEIRO SA

0.77%-280 K

INDIA CAP GAIN TAX

0.74%-136 M

BANK MANDIRI PERSERO TBK

0.70%-4 M

QATAR NATIONAL BANK QPSC

0.70%-318 K

SAUDI TELECOM CO

0.69%-137 K

HCL TECHNOLOGIES LTD

0.69%-64 K

NOVATEK MICROELECTRONICS

0.64%-90 K

BHARAT ELECTRONICS LTD

0.62%-388 K

ACCTON TECHNOLOGY CORP

0.62%-58 K

CHINA TOWER CORP LTD

0.62%-9 M

KWEICHOW MOUTAI CO LTD

0.59%-6300

NONGFU SPRING CO LTD

0.56%-283 K

KUWAIT FINANCE HOUSE KSCP

0.56%-501 K

MAHINDRA & MAHINDRA LTD

0.54%-31 K

HYUNDAI MOTOR CO

0.54%-8016

ITC LTD

0.51%-193 K

BANK CENTRAL ASIA TBK PT

0.51%-2 M

INTERNATIONAL GAMES SYSTE

0.49%-36 K

REALTEK SEMICONDUCTOR COR

0.48%-63 K

TAIWAN MOBILE CO LTD

0.45%-285 K

TITAN CO LTD

0.44%-24 K

CONTEMPORARY AMPEREX TECH

0.44%-27 K

VEDANTA LTD

0.44%-182 K

CHINA RESOURCES BEER HOLD

0.43%-301 K

UNI-PRESIDENT ENTERPRISES

0.42%-372 K
0.41%$12 B63 K$13.93$880.01 KBasic MaterialsGoldSouth Africa

HINDUSTAN

0.40%-18 K

WIWYNN CORP

0.40%-11 K

INTERGLOBE AVIATION LTD

0.38%-15 K

ETIHAD ETISALAT CO

0.38%-57 K
0.38%$94 B37 K$22.74$831.90 KTechnologyInformation Technology ServicesIndia

HUAZHU GROUP LTD

0.38%-253 K

CHINA HONGQIAO GROUP LTD

0.38%-566 K

VARUN BEVERAGES LTD

0.37%-107 K

LG ELECTRONICS INC

0.37%-14 K

FUYAO GLASS INDUSTRY GROU

0.37%-115 K

HINDALCO INDUSTRIES LTD

0.37%-114 K

EMIRATES NBD BANK PJSC

0.37%-140 K

PERSISTENT SYSTEMS LTD

0.36%-10 K

FAR EASTONE TELECOMMUNICA

0.36%-292 K

Yankuang Energy Group Co

0.36%-694 K

SHOPRITE HOLDINGS LTD

0.36%-49 K

JSW STEEL LTD

0.35%-72 K

GREAT WALL MOTOR CO LTD

0.35%-454 K

EMEMORY TECHNOLOGY INC

0.34%-8000

EVA AIRWAYS CORP

0.34%-514 K

NESTLE INDIA LTD

0.34%-29 K

MERITZ FINANCIAL GROUP IN

0.33%-10 K

TVS MOTOR CO LTD

0.33%-25 K

HANA FINANCIAL GROUP INC

0.32%-18 K

SAMSUNG FIRE & MARINE INS

0.32%-2856

KING YUAN ELECTRONICS CO

0.32%-203 K

APOLLO HOSPITALS ENTERPRI

0.32%-7862

EMIRATES TELECOMMUNICATIO

0.32%-160 K

CHINA SHENHUA ENERGY CO L

0.32%-163 K

TRENT LTD

0.31%-7769

UNIMICRON TECHNOLOGY CORP

0.31%-150 K

DR SULAIMAN AL HABIB MEDI

0.31%-8982

MTN GROUP LTD

0.31%-134 K

JD LOGISTICS INC

0.30%-395 K

WOORI FINANCIAL GROUP INC

0.30%-63 K

UNITED MICROELECTRONICS C

0.29%-477 K

QUANTA COMPUTER INC

0.29%-73 K

CAPITEC BANK HOLDINGS LTD

0.29%-3807

ASIA VITAL COMPONENTS CO

0.28%-32 K

INDUS TOWERS LTD

0.28%-151 K

TUBE INVESTMENTS OF INDIA

0.27%-13 K

CASH AND CASH EQUIVALENTS

0.27%-579 K

ASIAN PAINTS LTD

0.27%-21 K
0.26%$5 B10 K$54.03$545.97 KEnergyOil & Gas Equipment & ServicesMexico

JINDAL STEEL & POWER LTD

0.26%-52 K

PETRO RIO SA

0.26%-85 K

WAL-MART DE MEXICO SAB DE

0.26%-208 K

HD HYUNDAI ELECTRIC CO LT

0.26%-1995

PRESIDENT CHAIN STORE COR

0.25%-68 K

ABU DHABI ISLAMIC BANK PJ

0.25%-145 K

AXIS BANK LTD

0.25%-42 K

BRITANNIA INDUSTRIES LTD

0.25%-9714
0.25%$9 B2917$170.23$496.56 KIndustrialsAirports & Air ServicesMexico

HARMONY GOLD MINING CO LT

0.25%-62 K

KRAFTON INC

0.24%-2448

Holding types

Countries

Sectors