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FDEM ETF Holdings

All holdings

(total: 232)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry

TENCENT HOLDINGS LTD

4.96%-83 K

SAMSUNG ELECTRONICS CO LTD

2.82%-59 K

EMAAR PROPERTIES

1.99%-823 K

HUAKU DEVELOPMENT CO LTD

1.79%-427 K

TERRAFINA

1.76%-841 K

JD.COM INC CL A

1.70%-74 K
1.70%$135 B12 K$97.25$1.15 MConsumer CyclicalInternet RetailIreland

TRIP.COM GROUP LTD

1.37%-20 K

CHINA SHENHUA ENERGY CO H

1.22%-258 K

INNER MONGOLIA YITAI COAL CL B

1.20%-480 K

ADARO ENERGY INDONESIA TBK PT

1.16%-4 M

PETROCHINA CO LTD H

1.11%-1 M
1.10%$3 B32 K$26.39$842.47 KCommunication ServicesInternet Content & InformationChina

HINDUSTAN UNILEVER LTD

1.02%-29 K

CHINA CONSTRUCTION BANK CORP H

1.02%-1 M

INFOSYS LTD

1.00%-40 K
1.00%-159 K$20.78$3.30 M

UNITED TRACTORS PT

0.98%-555 K

ANTA SPORTS PRODUCTS LTD

0.97%-78 K

KT & G CORP

0.94%-11 K
0.94%$2 B78 K$66.84$5.21 MFinancial ServicesInsurance - Property & CasualtyUnited States

BAJAJ AUTO LTD

0.94%-6247

POP MART INTERNATIONAL GRP LTD

0.93%-115 K

OIL INDIA LTD

0.92%-125 K

KALYAN JEWELLERS INDIA LTD

0.91%-96 K

HAIER SMART HOME CO LTD

0.90%-207 K

WH GROUP LTD

0.90%-1 M

HON HAI PRECISION IND CO LTD

0.89%-136 K
0.89%-2 M$37.00$68.27 M

MOL HUNGARIAN OIL & GAS PLC

0.87%-114 K

FUYAO GLASS INDUS GRP CO LTD H

0.87%-117 K

ITC LTD (DEMAT)

0.85%-136 K

BIM BIRLESIK MAGAZALAR AS

0.84%-58 K

TONGCHENG TRAVEL HOLDINGS LTD

0.83%-341 K

BAIDU INC CL A

0.83%-62 K

SK HYNIX INC

0.82%-5571

ORION CORP/REPUBLIC OF KOREA

0.82%-11 K

EXXARO RESOURCES LTD

0.81%-82 K

MEDIA TEK INC

0.81%-19 K

TUPRAS TURKIY PETROL RAFINE AS

0.80%-178 K
0.80%$743 M83 K$34.98$2.89 MFinancial ServicesAsset ManagementUnited States

HERO MOTOCORP LTD

0.80%-11 K

NESTLE INDIA LTD (DEMAT)

0.76%-24 K

NETEASE INC

0.76%-42 K

KIMBERLY-CLARK DE MEXICO CL A

0.76%-450 K

BOSIDENG INTERNATL HOLDING LTD

0.75%-1 M

AL RAJHI BANKING &INVEST CORP

0.75%-31 K
0.74%-12 K$10.42$128.58 KFinancial ServicesAsset ManagementUnited States

HENGAN INTL GRP CO LTD

0.72%-211 K

INDUSTRIAL & COM BK OF CHINA H

0.72%-1 M

JUMBO SA

0.70%-23 K

INTERNATIONAL GAMES SYS CO LTD

0.68%-19 K

KIA CORP

0.67%-8488

GREEK ORG OF FOOTBL PROGNOC SA

0.66%-37 K

HISENSE HOME APPLIANCES GROUP

0.66%-179 K
0.66%-922 K$69.43$63.98 M

BANK OF CHINA LTD H

0.66%-1 M

STANDARD BANK GROUP LTD

0.65%-45 K
0.63%$721 K12 K$0.21$2508.11Consumer CyclicalSpecialty RetailUnited States

ADVANCED INFO SERVICE NVDR

0.62%-70 K

MOTHERSON SU WIRING INDIA LTD

0.61%-740 K

HYUNDAI MOBIS

0.61%-3507

POU CHEN CORP

0.61%-521 K

CHUNGHWA TELECOM CO LTD

0.59%-147 K

INTOUCH HOLDINGS PCL NVDR

0.57%-174 K

KRAFTON INC

0.56%-2173
0.55%$7 B31 K$13.07$409.51 KConsumer CyclicalInternet RetailChina

CHINA TOWER CORP LTD H

0.54%-4 M

TELKOM INDONESIA PERSE (DEMAT)

0.53%-3 M
0.52%-6294

TAIWAN MOBILE CO LTD

0.51%-138 K

YUANTA FINL HLDG CO LTD

0.50%-477 K

TURKCELL ILETISIM HIZMET AS

0.49%-190 K

STATE BANK OF INDIA (DEMAT) DE

0.49%-48 K

JIO FINANCIAL SERVICES LTD

0.48%-113 K

MOMENTUM GROUP LIMITED

0.48%-269 K

FAR EASTONE TELECOM CO LTD

0.46%-159 K

MALAYAN BANKING (MLAY)

0.46%-176 K

WOORI FINANCIAL GROUP INC

0.46%-36 K

VIBRA ENERGIA SA

0.45%-103 K

CIMB GROUP HOLDINGS BERHAD

0.44%-218 K

SINOPAC HOLDINGS

0.44%-558 K

HANKOOK TIRE AND TECHNOLOGY

0.44%-15 K
0.44%$164 B270 K$22.85$6.18 MCommunication ServicesTelecom ServicesUnited States

LENOVO GROUP LTD

0.44%-288 K

AGRICULTURAL BANK OF CHINA H

0.43%-811 K

DB INSURANCE CO LTD

0.43%-4724

BANCO DO BRASIL SA

0.42%-83 K

ANGEL ONE LTD

0.42%-12 K

ABU DHABI ISLAMIC BANK

0.42%-120 K

HDFC ASSET MANAGEMENT CO LTD

0.41%-7338

ICICI LOMBARD GEN INSURANCE CO

0.41%-16 K

COMMERCIAL INTERNATIONAL BANK

0.41%-231 K

ITAUSA (INVEST ITAU) PFD

0.40%-199 K

LG UPLUS CORP

0.40%-53 K

BRILLIANCE CH AUTO HLDG LTD

0.40%-1 M

CHINA RAILWAY GROUP LIMITED H

0.39%-677 K

TAICHUNG BUSINESS BANK

0.39%-656 K

KINGBOARD HOLDINGS LTD

0.39%-148 K

NET OTHER ASSETS

0.39%-0

Holding types

Countries

Sectors