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SCHY ETF Holdings

All holdings

(total: 136)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry

BHP GROUP LTD

4.40%-1 M

ENEL

4.06%-4 M
3.98%$17 B259 K$79.15$20.47 MConsumer DefensiveDiscount StoresUnited States
3.97%$130 B462 K$57.24$26.46 MEnergyOil & Gas IntegratedFrance

WESFARMERS LTD

3.97%-654 K

UNILEVER PLC

3.92%-473 K

ROCHE HOLDING PAR AG

3.80%-94 K

ONO PHARMACEUTICAL LTD

3.68%-2 M

GLAXOSMITHKLINE

3.64%-1 M

BRITISH AMERICAN TOBACCO

3.63%-755 K

KDDI CORP

3.48%-833 K

DEUTSCHE POST AG

2.94%-541 K

ENI

2.51%-1 M

RIO TINTO LTD

2.28%-217 K
2.20%$946 M428 K$85.25$36.51 MTechnologySoftware ApplicationUnited States

TORONTO DOMINION

2.15%-269 K

ZURICH INSURANCE GROUP AG

1.74%-23 K

KONE CLASS B

1.71%-233 K

VODAFONE GROUP PLC

1.69%-13 M

KONINKLIJKE AHOLD DELHAIZE NV

1.56%-354 K

HCL TECHNOLOGIES LTD

1.55%-574 K

JAPAN TOBACCO INC

1.51%-417 K

CHINA CONSTRUCTION BANK CORP H

1.50%-15 M

SAUDI TELECOM

1.45%-975 K

POWER GRID CORPORATION OF INDIA LT

1.36%-2 M
1.33%-265 KFinancial ServicesBanks - DiversifiedSwitzerland

BANK OF NOVA SCOTIA

1.30%-190 K

SGS SA

1.29%-89 K

SWISSCOM AG

1.23%-15 K

DBS GROUP HOLDINGS LTD

1.18%-312 K

IMPERIAL BRANDS PLC

1.12%-300 K

KUEHNE UND NAGEL INTERNATIONAL AG

1.08%-31 K

MANULIFE FINANCIAL CORP

1.01%-274 K

KONINKLIJKE KPN NV

1.01%-2 M

ITC LTD

0.89%-1 M

TELSTRA GROUP LTD

0.80%-2 M

BCE INC

0.78%-176 K

UNITED OVERSEAS BANK LTD

0.76%-237 K

TELKOM INDONESIA

0.70%-26 M

SUN LIFE FINANCIAL INC

0.65%-89 K
0.62%$8 B168 K$46.99$7.89 MTechnologyInformation Technology ServicesBermuda

ELISA

0.61%-88 K
0.61%$45 B368 K$151.84$55.89 MTechnologyElectronic ComponentsIreland

DAITO TRUST CONSTRUCTION LTD

0.56%-36 K

INDIAN OIL CORP LTD

0.53%-2 M

ENDESA SA

0.52%-186 K

BANK RAKYAT INDONESIA (PERSERO)

0.49%-11 M

AMBEV SA

0.48%-2 M

PTT EXPLORATION AND PRODUCTION NON

0.43%-785 K

SOMPO HOLDINGS INC

0.43%-153 K

BANK MANDIRI (PERSERO)

0.42%-7 M

KT&G CORP

0.40%-39 K

SINGAPORE TECHNOLOGIES ENGINEERING

0.39%-870 K

INDUSTRIES QATAR

0.39%-862 K

BIDVEST GROUP LTD

0.39%-185 K

ADVANTECH LTD

0.36%-269 K

NITERRA LTD

0.35%-98 K

AMPOL LTD

0.35%-139 K

COCA COLA HBC AG

0.34%-75 K

QBE INSURANCE GROUP LTD

0.33%-233 K

QUEBECOR INC CLASS B

0.30%-92 K

NATURGY ENERGY SA

0.30%-91 K
0.28%$23 B330 K$8.84$2.92 MCommunication ServicesTelecom ServicesUnited Kingdom

KESKO CLASS B

0.28%-104 K

EMIRATES NBD

0.27%-377 K

TELEFONICA BRASIL SA

0.27%-213 K
0.26%-1 MFinancial ServicesShell CompaniesChina

KLABIN UNITS SA

0.25%-525 K

CHICONY ELECTRONICS LTD

0.24%-370 K

COCA-COLA FEMSA CLASS UBL UNITS

0.23%-203 K
0.23%$231 B1 M$176.09$201.57 MConsumer CyclicalAuto ManufacturersJapan

ARCA CONTINENTAL

0.23%-186 K

SYNNEX TECHNOLOGY INTERNATIONAL CO

0.20%-706 K

TIM SA

0.19%-435 K

RADIANT OPTO-ELECTRONICS CORP

0.19%-252 K

GREAT WEST LIFECO INC

0.18%-42 K

OOREDOO

0.17%-420 K

INTOUCH HOLDINGS NON-VOTING DR PCL

0.17%-473 K
SLM logo

SLM

SLM
0.17%$6 B254 K$26.50$6.72 MFinancial ServicesCredit ServicesUnited States

QATAR FUEL

0.17%-313 K

TRYG

0.16%-52 K

PETRONET LNG LTD

0.16%-325 K

HARVEY NORMAN HOLDINGS LTD

0.16%-370 K

IA FINANCIAL INC

0.15%-14 K

JARIR MARKETING

0.15%-329 K

SINGAPORE EXCHANGE LTD

0.14%-129 K

ENGIE BRASIL ENERGIA SA

0.14%-137 K

SIMPLO TECHNOLOGY LTD

0.14%-99 K

LG UPLUS CORP

0.11%-121 K

SSC GOVERNMENT MM GVMXX

0.11%-891 K

KIMBERLY-CLARK DE MEXICO CLASS A

0.11%-533 K

JARDINE CYCLE AND CARRIAGE LTD

0.10%-37 K

ABU DHABI ISLAMIC BANK

0.10%-233 K

GS HOLDINGS

0.10%-26 K

BB SEGURIDADE SA

0.09%-108 K

THE PEOPLES INSURANCE CO (GROUP) O

0.08%-1 M

SCHRODERS PLC

0.08%-142 K

ZAR999999

0.07%-9 M

GJENSIDIGE FORSIKRING

0.07%-30 K

SAR999999

0.06%-2 M

Holding types

Countries

Sectors