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iShares MSCI Malaysia ETF (EWM) Holdings

iShares MSCI Malaysia ETF logo
$23.86 -0.23 (-0.94%)
As of 10:17 AM Eastern
This is a fair market value price provided by Polygon.io. Learn more.

Top 38 EWM Holdings

RankCompanyCurrent PriceWeightShares Held
1Public Bank BerhadN/A13.34%29,573,400
2CIMB Group Holdings BerhadN/A11.57%16,368,812
3Malayan Banking BerhadN/A11.26%11,041,781
4Tenaga Nasional BerhadN/A7.88%5,312,512
5Gamuda BerhadN/A4.53%9,371,818
6Press Metal Aluminium Holdings BerhadN/A3.92%7,534,000
7IHH Healthcare BerhadN/A3.13%4,479,700
8PETRONAS Gas BerhadN/A2.97%1,608,500
9Celcomdigi BerhadN/A2.90%7,151,100
10Hong Leong Bank BerhadN/A2.72%1,321,740
11AMMB Holdings BerhadN/A2.66%5,050,737
12Sunway BerhadN/A2.45%5,057,700
13RHB Bank BerhadN/A2.32%3,543,102
14Kuala Lumpur Kepong BerhadN/A2.25%1,019,189
15MISC BerhadN/A2.16%2,721,320
16YTL Power International BerhadN/A2.05%5,044,700
17PETRONAS Chemicals Group BerhadN/A2.04%5,689,300
18SD Guthrie BerhadN/A2.01%4,215,655
19IOI Corporation BerhadN/A1.97%5,108,330
20Maxis BerhadN/A1.80%4,775,100
21YTL Corporation BerhadN/A1.60%6,771,600
22QL Resources BerhadN/A1.59%3,338,075
23Telekom Malaysia BerhadN/A1.58%2,339,600
24Genting BerhadN/A1.38%4,332,800
25PPB Group BerhadN/A1.38%1,300,819
26PETRONAS Dagangan BerhadN/A1.35%605,600
27Axiata Group BerhadN/A1.29%5,599,100
28Mr D.I.Y. Group (M) BerhadN/A1.16%6,733,800
29Nestlé (Malaysia) BerhadN/A1.15%142,500
30Sime Darby BerhadN/A0.95%5,539,455
31MYR CASHN/A0.25%2,394,153
32YTL POWER INTERNATIONALN/A0.16%1,056,080
33BLK CSH FND TREASURY SL AGENCYN/A0.14%310,000
34YTL CORPORATIONN/A0.11%1,418,700
35CASH COLLATERAL USD BZUFTN/A0.01%32,000
36MSCI EMER MKT INDEX (ICE) SEP 25N/A0.00%12
37MYR/USDN/A0.00%-494,036
38
ProShares Ultra Semiconductors stock logo
USD
ProShares Ultra Semiconductors
$82.98
+6.7%
-0.03%-72,309

Geographic Exposure

  • Malaysia
    98.3%
  • United States
    0.2%

Currency Exposure

  • MYR
    99.8%
  • USD
    0.2%

Sector Exposure

  • Financials
    45.9%
  • Utilities
    11.6%
  • Consumer Staples
    8.2%
  • Materials
    8.1%
  • Communications
    7.7%
  • Industrials
    7.1%
  • Energy
    4.3%
  • Consumer Discretionary
    3.5%
  • Health Care
    3.1%

Industry Exposure

  • Banks
    43.3%
  • Utilities
    11.6%
  • Food Products
    8.2%
  • Diversified Telecommunication Services
    7.7%
  • Construction & Engineering
    5.0%
  • Oil, Gas & Consumable Fuels
    4.3%
  • Chemicals
    4.1%
  • Metals & Mining
    4.0%
  • Health Care Providers & Services
    3.1%
  • Real Estate Management & Development
    2.6%
  • Transportation Infrastructure
    2.2%
  • Hotels, Restaurants & Leisure
    1.4%
  • Specialty Retail
    1.2%
  • Automobiles
    1.0%

SubIndustry Exposure

  • Diversified Banks
    43.3%
  • Alternative Carriers
    7.7%
  • Electric Utilities
    7.7%
  • Agricultural Products
    7.0%
  • Construction & Engineering
    5.0%
  • Diversified Chemicals
    4.1%
  • Aluminum
    4.0%
  • Multi-Utilities
    3.9%
  • Health Care Facilities
    3.1%
  • Oil & Gas Storage & Transportation
    2.9%
  • Real Estate Development
    2.6%
  • Marine Ports & Services
    2.2%
  • Hotels, Resorts & Cruise Lines
    1.4%
  • Oil & Gas Refining & Marketing
    1.4%
  • Home Improvement Retail
    1.2%
  • Packaged Foods & Meats
    1.1%
  • Automobile Manufacturers
    1.0%

Coupon Exposure

  • 0-2
    99.6%
  • 4-6
    0.2%
  • 2-4
    0.2%

Maturity Exposure

  • 3-5
    0.3%

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This page (NYSEARCA:EWM) was last updated on 7/15/2025 by MarketBeat.com Staff
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