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iShares MSCI Finland ETF (EFNL) Holdings List

iShares MSCI Finland ETF logo
$56.74 0.00 (0.00%)
As of 05/22/2026 04:10 PM Eastern

What stocks does EFNL hold?

The iShares MSCI Finland ETF (EFNL) top stock holdings include Nokia Oyj, NORDEA BANK, and Sampo Oyj. The top 25 EFNL holdings ordered by weight make up 94.92% of the total fund. EFNL is an equity fund in the broad equity category that invests in investments, focused on strategy strategies within the Europe region. This page includes a complete EFNL stock holdings list ranked by weight, along with a full breakdown of sector, geographic, industry, and currency exposure.

Top 25 EFNL Holdings

RankCompanyCurrent PriceWeightShares Held
1Nokia OyjN/A21.41%837,856
2NORDEA BANKN/A16.87%509,563
3Sampo OyjN/A6.82%359,815
4Neste OyjN/A4.99%81,701
5KONE OyjN/A4.95%46,331
6Wärtsilä Oyj AbpN/A4.32%55,736
7UPM-Kymmene OyjN/A3.94%72,512
8Metso OyjN/A3.87%119,610
9Fortum OyjN/A3.75%86,352
10Orion OyjN/A3.08%21,360
11Elisa OyjN/A2.48%28,422
12Kesko OyjN/A2.39%54,868
13Stora Enso OyjN/A2.37%115,234
14Konecranes PlcN/A2.30%40,077
15Valmet OyjN/A1.49%31,204
16Huhtamäki OyjN/A1.26%21,726
17Outokumpu OyjN/A1.18%97,972
18Mandatum OyjN/A1.16%95,335
19Tieto OyjN/A1.09%26,464
20Hiab OyjN/A1.09%9,784
21Kemira OyjN/A1.06%28,370
22Kalmar OyjN/A0.83%9,748
23Nokian Renkaat OyjN/A0.82%36,373
24Puuilo OyjN/A0.72%26,180
25Bittium OyjN/A0.68%8,865

EFNL Geographic Exposure

EFNL's largest geographic exposure is Finland at 98.9%, followed by United States at 0.0%.

  • Finland
    98.9%

EFNL Currency Exposure

EFNL is predominantly exposed to EUR at 100.0%, followed by USD at 0.0%.

  • EUR
    100.0%

EFNL Sector Exposure

EFNL's largest sector exposure is Financials at 25.5%, followed by Technology at 23.6%.

  • Financials
    25.5%
  • Technology
    23.6%
  • Industrials
    19.3%
  • Materials
    10.1%
  • Energy
    4.9%
  • Utilities
    3.8%
  • Health Care
    3.5%
  • Consumer Discretionary
    3.2%
  • Communications
    2.5%
  • Consumer Staples
    2.4%
  • Other
    0.6%

EFNL Industry Exposure

EFNL's largest industry exposure is Communications Equipment at 21.2%, followed by Machinery at 18.4%.

  • Communications Equipment
    21.2%
  • Machinery
    18.4%
  • Banks
    17.3%
  • Insurance
    8.2%
  • Paper & Forest Products
    6.6%
  • Oil, Gas & Consumable Fuels
    4.9%
  • Utilities
    3.8%
  • Biotechnology
    3.2%
  • Diversified Telecommunication Services
    2.5%
  • Specialty Retail
    2.4%
  • Other
    10.9%

EFNL Sub-Industry Exposure

EFNL's largest sub-industry exposure is Communications Equipment at 21.2%, followed by Diversified Banks at 17.3%.

  • Communications Equipment
    21.2%
  • Diversified Banks
    17.3%
  • Industrial Machinery & Supplies
    12.7%
  • Property & Casualty Insurance
    7.0%
  • Paper Products
    6.6%
  • Oil & Gas Refining & Marketing
    4.9%
  • Construction Machinery & Heavy Trucks
    3.8%
  • Electric Utilities
    3.8%
  • Biotechnology
    3.2%
  • Alternative Carriers
    2.5%
  • Other
    16.3%

EFNL Coupon Exposure

EFNL's largest coupon exposure is 0-2 at 100.0%, followed by 2-4 at 0.0%.

  • 0-2
    100.0%

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This page (BATS:EFNL) was last updated on 5/25/2026 by MarketBeat.com Staff.
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