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iShares MSCI Malaysia ETF (EWM) Holdings

$23.16
-0.02 (-0.09%)
(As of 05/24/2024 08:00 PM ET)

Top 38 EWM Holdings

RankCompanyCurrent PriceWeightShares Held
1PUBLIC BANKN/A12.42%38,580,500
2MALAYAN BANKINGN/A11.01%14,382,481
3CIMB GROUP HOLDINGSN/A8.94%16,958,312
4TENAGA NASIONALN/A6.93%6,901,712
5PRESS METAL ALUMINIUM HOLDINGSN/A4.04%9,826,200
6PETRONAS CHEMICALS GROUPN/A3.94%7,420,300
7PETRONAS GASN/A2.94%2,097,600
8CELCOMDIGIN/A2.90%9,328,600
9IHH HEALTHCAREN/A2.80%5,836,200
10YTL POWER INTERNATIONALN/A2.67%6,488,000
11YTL CORPORATIONN/A2.61%8,767,000
12HONG LEONG BANKN/A2.59%1,724,040
13GAMUDAN/A2.33%5,058,400
14MISCN/A2.30%3,550,620
15KUALA LUMPUR KEPONGN/A2.16%1,289,600
16GENTINGN/A2.05%5,654,800
17IOI CORPORATIONN/A2.03%6,654,630
18AMMB HOLDINGSN/A2.02%6,140,937
19PPB GROUPN/A1.94%1,697,819
20MALAYSIA AIRPORTS HOLDINGSN/A1.87%2,433,900
21SIME DARBY PLANTATIONN/A1.86%5,503,255
22INARI AMERTRONN/A1.84%7,438,800
23NESTLE MALAYSIAN/A1.83%186,400
24MAXISN/A1.79%6,219,500
25RHB BANKN/A1.68%3,980,202
26GENTING MALAYSIAN/A1.66%7,859,100
27AXIATA GROUPN/A1.61%7,307,300
28SIME DARBYN/A1.60%7,234,155
29TELEKOM MALAYSIAN/A1.53%3,047,200
30QL RESOURCESN/A1.44%2,898,750
31MR D.I.Y. GROUP (M)N/A1.24%8,759,300
32PETRONAS DAGANGANN/A1.23%788,700
33BLK CSH FND TREASURY SL AGENCYN/A0.63%1,740,000
34CASH COLLATERAL USD HBCFTN/A0.01%15,000
35ETD USD BALANCE WITH R93537N/A0.00%11
36MSCI EMER MKT INDEX (ICE) JUN 24N/A0.00%9
37MYR/USDN/A0.00%-310,871
38
ProShares Ultra Semiconductors stock logo
USD
ProShares Ultra Semiconductors
$117.43
+4.4%
-0.53%-1,469,004

Geographic Exposure

  • Malaysia
    98.6%
  • United States
    0.6%

Currency Exposure

  • MYR
    99.9%
  • USD
    0.1%

Sector Exposure

  • Financials
    38.7%
  • Utilities
    12.2%
  • Materials
    10.1%
  • Consumer Staples
    9.1%
  • Communications
    7.8%
  • Industrials
    6.5%
  • Consumer Discretionary
    5.3%
  • Energy
    4.2%
  • Health Care
    2.8%
  • Technology
    1.8%

Industry Exposure

  • Banks
    38.7%
  • Utilities
    12.2%
  • Food Products
    9.1%
  • Diversified Telecommunication Services
    7.8%
  • Chemicals
    6.1%
  • Oil Gas & Consumable Fuels
    4.2%
  • Transportation Infrastructure
    4.2%
  • Metals & Mining
    4.0%
  • Hotels Restaurants & Leisure
    3.7%
  • Health Care Providers & Services
    2.8%
  • Construction & Engineering
    2.3%
  • Electronic Equipment Instruments & Components
    1.8%
  • Automobiles
    1.6%

SubIndustry Exposure

  • Diversified Banks
    38.7%
  • Alternative Carriers
    7.8%
  • Agricultural Products
    7.3%
  • Electric Utilities
    6.9%
  • Diversified Chemicals
    6.1%
  • Multi-Utilities
    5.3%
  • Aluminum
    4.0%
  • Oil & Gas Storage & Transporta
    2.9%
  • Health Care Facilities
    2.8%
  • Construction & Engineering
    2.3%
  • Marine Ports & Services
    2.3%
  • Hotels Resorts & Cruise Lines
    2.0%
  • Airport Services
    1.9%
  • Electronic Manufacturing Services
    1.8%
  • Packaged Foods & Meats
    1.8%
  • Casinos & Gaming
    1.7%
  • Automobile Manufacturers
    1.6%
  • Oil & Gas Refining & Marketing
    1.2%

Coupon Exposure

  • 0-2
    99.4%
  • 4-6
    0.6%

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This page (NYSEARCA:EWM) was last updated on 5/27/2024 by MarketBeat.com Staff

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