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Xtrackers Emerging Markets Carbon Reduction and Climate Improvers ETF (EMCR) Holdings List

$43.79 -0.91 (-2.04%)
Closing price 09/23/2026 04:10 PM Eastern
Extended Trading
$43.81 +0.02 (+0.05%)
As of 09/23/2026 04:10 PM Eastern
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What stocks does EMCR hold?

The Xtrackers Emerging Markets Carbon Reduction and Climate Improvers ETF (EMCR) top stock holdings include Taiwan Semiconductor Manufacturing Company Limited, Samsung Electronics Co., Ltd., and SK hynix Inc.. The top 25 EMCR holdings ordered by weight make up 39.48% of the total fund. EMCR is an equity fund in the strategy category that invests in publicly traded companies and other investments, focused on theme strategies within the Emerging Markets region. This page includes a complete EMCR stock holdings list ranked by weight, along with a full breakdown of sector, geographic, industry, and currency exposure.

Top 25 EMCR Holdings

RankCompanyCurrent PriceWeightShares Held
1Taiwan Semiconductor Manufacturing Company LimitedN/A9.67%77,947
2Samsung Electronics Co., Ltd.N/A5.50%17,137
3SK hynix Inc.N/A4.62%2,090
4Tencent Holdings LimitedN/A4.00%46,122
5Alibaba Group Holding LimitedN/A2.46%113,027
6MediaTek Inc.N/A1.31%5,484
7Delta Electronics, Inc.N/A1.12%13,210
8Hon Hai Precision Industry Co., Ltd.N/A0.96%75,428
9MSCI Emerging Markets Index Future Sept 26N/A0.96%7
10ASE Technology Holding Co., Ltd.N/A0.81%24,762
11SK Square Co., Ltd.N/A0.74%545
12Samsung Electronics Co Ltd. 0%N/A0.73%3,004
13
China Construction Bank Co. stock logo
CICHF
China Construction Bank
$1.27
+7.3%
0.69%344,710
14
PDD Holdings Inc. Sponsored ADR stock logo
PDD
PDD
$79.20
-1.4%
0.60%4,784
15
Nu Holdings Ltd. stock logo
NU
NU
$13.62
-3.8%
0.57%23,926
16Bharti Airtel LimitedN/A0.54%17,625
17MeituanN/A0.52%34,419
18Elite Material Co., Ltd.N/A0.50%1,849
19HDFC Bank LimitedN/A0.50%42,700
20ICICI Bank LimitedN/A0.46%20,012
21Dws Govt Money Market Series Institutional SharesN/A0.46%290,201
22
Ping An Insurance (Group) Company of China, Ltd. stock logo
PIAIF
Ping An Insurance (Group) Company of China
$6.82
+6.1%
0.46%40,946
23KB Financial Group Inc.N/A0.45%2,192
24Fubon Financial Holding Co., Ltd.N/A0.43%57,402
25NetEase, Inc.N/A0.42%11,153

EMCR Geographic Exposure

EMCR's largest geographic exposure is Taiwan, Province of China at 25.0%, followed by Korea, Republic of at 17.7%.

  • Taiwan, Province of China
    25.0%
  • Korea, Republic of
    17.7%
  • Cayman Islands
    11.0%
  • China
    10.3%
  • India
    9.6%
  • South Africa
    2.8%
  • Hong Kong
    2.3%
  • Brazil
    2.2%
  • United States
    1.9%
  • Saudi Arabia
    1.6%
  • Other
    8.9%

EMCR Currency Exposure

EMCR's largest currency exposure is TWD at 25.6%, followed by HKD at 18.5%.

  • TWD
    25.6%
  • HKD
    18.5%
  • KRW
    17.8%
  • INR
    10.7%
  • CNY
    7.5%
  • ZAR
    2.8%
  • BRL
    2.7%
  • USD
    2.0%
  • SAR
    1.7%
  • AED
    1.5%
  • Other
    9.2%

EMCR Sector Exposure

EMCR's largest sector exposure is Technology at 42.4%, followed by Financials at 20.6%.

  • Technology
    42.4%
  • Financials
    20.6%
  • Consumer Discretionary
    8.7%
  • Industrials
    5.4%
  • Health Care
    4.8%
  • Communications
    4.6%
  • Materials
    4.3%
  • Consumer Staples
    2.7%
  • Utilities
    1.2%
  • Real Estate
    0.8%
  • Other
    0.6%

EMCR Industry Exposure

EMCR's largest industry exposure is Semiconductors & Semiconductor Equipment at 20.2%, followed by Banks at 13.4%.

  • Semiconductors & Semiconductor Equipment
    20.2%
  • Banks
    13.4%
  • Communications Equipment
    6.9%
  • Electronic Equipment, Instruments & Components
    6.2%
  • Software
    5.1%
  • Internet & Direct Marketing Retail
    3.6%
  • Insurance
    2.8%
  • Diversified Telecommunication Services
    2.6%
  • Metals & Mining
    2.5%
  • Biotechnology
    2.4%
  • Other
    29.4%

EMCR Sub-Industry Exposure

EMCR's largest sub-industry exposure is Semiconductors at 19.7%, followed by Diversified Banks at 12.5%.

  • Semiconductors
    19.7%
  • Diversified Banks
    12.5%
  • Communications Equipment
    6.9%
  • Application Software
    5.0%
  • Electronic Components
    4.5%
  • Internet & Direct Marketing Retail
    4.3%
  • Life & Health Insurance
    2.1%
  • Biotechnology
    2.0%
  • Alternative Carriers
    1.9%
  • Technology Hardware, Storage & Peripherals
    1.9%
  • Other
    33.3%

EMCR Maturity Exposure

EMCR's largest maturity exposure is 0-1 at 1.0%, followed by 1-3 at 0.0%.

  • 0-1
    1.0%

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MarketBeat tracks Xtrackers Emerging Markets Carbon Reduction and Climate Improvers ETF holdings and portfolio composition, last updated on 9/15/2026.
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