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EWY ETF Holdings

All holdings

(total: 98)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry

SAMSUNG ELECTRONICS LTD

21.54%-19 M

SK HYNIX INC

10.23%-2 M

KB FINANCIAL GROUP INC

2.99%-2 M

NAVER CORP

2.88%-588 K

CELLTRION INC

2.74%-719 K

HYUNDAI MOTOR

2.63%-612 K

KIA CORPORATION CORP

2.26%-1 M

SHINHAN FINANCIAL GROUP LTD

2.06%-2 M

SAMSUNG BIOLOGICS LTD

1.87%-81 K

HANA FINANCIAL GROUP INC

1.70%-1 M

POSCO

1.63%-319 K

ALTEOGEN INC

1.47%-178 K

HYUNDAI MOBIS LTD

1.47%-277 K

LG ENERGY SOLUTION LTD

1.45%-201 K

KAKAO CORP

1.32%-1 M

HANWHA AEROSPACE LTD

1.31%-148 K

SAMSUNG ELECTRONICS NON VOTING PRE

1.17%-1 M

KT&G CORP

1.15%-482 K

SAMSUNG FIRE & MARINE INSURANCE LT

1.14%-144 K

SAMSUNG SDI LTD

1.11%-248 K

KRAFTON INC

1.06%-132 K

LG CHEM LTD

1.05%-225 K

SAMSUNG C&T CORP

1.05%-416 K

MERITZ FINANCIAL GROUP INC

1.04%-449 K

DOOSAN ENERBILITY LTD

1.02%-2 M

HD KOREA SHIPBUILDING & OFFSHORE E

0.98%-203 K

WOORI FINANCIAL GROUP INC

0.98%-3 M

SK SQUARE LTD

0.93%-451 K

HLB INC

0.91%-570 K

SAMSUNG HEAVY INDUSTRIES LTD

0.87%-3 M

LG ELECTRONICS INC

0.86%-504 K

HD HYUNDAI ELECTRIC LTD

0.83%-99 K

SK INNOVATION LTD

0.80%-304 K

YUHAN CORP

0.79%-274 K

SAMSUNG ELECTRO MECHANICS LTD

0.78%-275 K

SAMSUNG LIFE LTD

0.77%-384 K

HD HYUNDAI HEAVY INDUSTRIES LTD

0.72%-112 K

LG CORP

0.71%-457 K

HYUNDAI MOTOR S2 PREF

0.60%-177 K

HANWHA OCEAN LTD

0.59%-456 K

KOREA ELECTRIC POWER CORP

0.57%-1 M

ECOPRO LTD

0.56%-441 K

HYUNDAI GLOVIS LTD

0.56%-194 K

ECOPRO BM LTD

0.56%-218 K

SK INC

0.56%-183 K

SAMSUNG SDS LTD

0.51%-190 K

HANMI SEMICONDUCTOR LTD

0.50%-220 K

KRW CASH

0.50%-24 B

HYBE LTD

0.49%-98 K

DB INSURANCE LTD

0.49%-233 K

COWAY LTD

0.49%-296 K

KOREAN AIR LINES LTD

0.48%-950 K

HMM LTD

0.47%-1 M

INDUSTRIAL BANK OF KOREA

0.46%-1 M

KOREA ZINC INC

0.44%-26 K

HD HYUNDAI LTD

0.43%-233 K

AMOREPACIFIC CORP

0.42%-158 K

SK BIOPHARMACEUTICALS LTD

0.42%-157 K

POSCO FUTURE M LTD

0.42%-153 K

KOREA AEROSPACE INDUSTRIES LTD

0.41%-371 K

HYUNDAI MOTOR S1 PREF

0.41%-122 K

KAKAOBANK CORP

0.39%-795 K

KOREA INVESTMENT HOLDINGS LTD

0.38%-228 K

HANKOOK TIRE & TECHNOLOGY LTD

0.34%-416 K

SAMSUNG E&A LTD

0.34%-883 K

LG DISPLAY LTD

0.34%-2 M

DOOSAN BOBCAT INC

0.34%-330 K

SKC LTD

0.33%-101 K

SK TELECOM LTD

0.32%-272 K

S-OIL CORP

0.32%-258 K

LG H & H LTD

0.31%-48 K

ORION CORP

0.30%-138 K

NCSOFT CORP

0.29%-79 K

LG UPLUS CORP

0.28%-1 M

CJ CHEILJEDANG CORP

0.26%-50 K

DAEWOO SECURITIES

0.26%-1 M

LG INNOTEK LTD

0.26%-82 K

HANJIN KAL

0.26%-146 K

FUTURES KRW MARGIN BALANCE

0.25%-12 B

LS ELECTRIC LTD

0.25%-54 K

POSCO INTERNATIONAL CORP

0.24%-268 K

NH INVESTMENT & SECURITIES LTD

0.24%-826 K

GS HOLDINGS

0.23%-285 K

KUMHO PETRO CHEMICAL LTD

0.23%-98 K

HANMI PHARM LTD

0.21%-38 K

L&F LTD

0.21%-121 K

NETMARBLE CORP

0.17%-175 K

SK BIOSCIENCE LTD

0.16%-151 K

LOTTE CHEMICAL CORP

0.15%-126 K

LG CHEM PREFERRED STOCK LTD

0.14%-51 K

ENCHEM LTD

0.13%-54 K

HYUNDAI-ROTEM

0.13%-86 K

ECOPRO MATERIALS LTD

0.12%-83 K

POSCO DX COMPANY LTD

0.11%-280 K

USD CASH

0.06%-2 M

BLK CSH FND TREASURY SL AGENCY

0.05%-2 M

LOTTE SHOPPING LTD

0.00%-1

KOSPI2 INDEX MAR 25

0.00%-401

Holding types

Countries

Sectors

No data