WCMI ETF Holdings

All holdings

(total: 40)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry
4.96%$226 B58 K$72.95$4.26 MHealthcareDrug Manufacturers - GeneralUnited Kingdom

United Overseas Bank Limited

4.57%-141 K

Canadian National Railway Company

3.46%-29 K

Wise Plc (Class A)

3.42%-215 K

Spirax Group Plc

3.29%-29 K
3.25%$38 B12 K$236.06$2.74 MHealthcareHealth Information ServicesUnited States

Persimmon Plc

3.24%-179 K

Taiwan Semiconductor Manufacturing Company Ltd.

3.13%-79 K

London Stock Exchange Group Plc

3.07%-18 K

Siemens Healthineers AG

3.07%-45 K
2.99%$156 B41 K$61.06$2.53 MFinancial ServicesBanks - RegionalIndia

Haleon Plc

2.99%-539 K

Iberdrola S.A.

2.97%-180 K

GMO Payment Gateway, Inc.

2.88%-44 K

Compass Group Plc

2.88%-71 K

TOTVS S.A.

2.86%-420 K

Shenzhou International Group Holdings Limited

2.84%-315 K

B3 S.A. - Brasil, Bolsa, Balcao

2.81%-1 M

Adyen NV

2.80%-1477

LVMH Moet Hennessy Louis Vuitton SE

2.72%-3272

Bravida Holding AB

2.70%-281 K

Hensoldt AG

2.64%-60 K
AON logo

Aon

AON
2.55%$83 B5588$383.79$2.14 MFinancial ServicesInsurance BrokersIreland
2.52%$512 B3799$561.23$2.13 MFinancial ServicesCredit ServicesUnited States

Sartorius Stedim Biotech

2.32%-9000

GSK Plc

2.24%-106 K

US Dollar

2.22%-2 M

Nippon Paint Holdings Co., Ltd.

2.10%-293 K

Epiroc AB (Class A)

2.00%-88 K

Legrand S.A.

1.94%-17 K
1.88%$481 B15 K$110.49$1.62 MEnergyOil & Gas IntegratedUnited States

Coloplast A/S (Class B)

1.88%-15 K

Megacable Holdings, S.A.B. de C.V. (Unit)

1.70%-715 K
1.68%$72 B12 K$124.72$1.44 MConsumer CyclicalInternet RetailSingapore

ASM International N.V.

1.47%-2213
1.39%$241 B3059$385.59$1.18 MTechnologyInformation Technology ServicesIreland

Keyence Corporation

1.22%-2500

Ivanhoe Mines Ltd. (Class A)

1.18%-88 K

New Taiwan Dollar

0.16%-4 M

Euro

0.00%-1

Holding types

Countries

Sectors