Activos clave Market Value Shares Weight %
Lenovo Group Ltd 10.4 M 6.9 M 0.3% Budweiser Brewing Co APAC Ltd 10.1 M 10.3 M 0.3% Coles Group Ltd 9.4 M 592.9 K 0.3% DSM-Firmenich AG 9.4 M 126.2 K 0.3% Jardine Matheson Holdings Ltd 9.3 M 137.1 K 0.3% U.S. Bank Money Market Deposit Account 8.3 M 8.3 M 0.2% Kawasaki Kisen Kaisha Ltd 8.2 M 501.1 K 0.2% Galaxy Entertainment Group Ltd 7.9 M 1.9 M 0.2% Cathay Pacific Airways Ltd 7.8 M 5.3 M 0.2% CHOW TAI FOOK 7.5 M 5.5 M 0.2% LG Corp 7.4 M 110.9 K 0.2% A
ASBRF Asahi Group Holdings Ltd 6.8 M 684.2 K 0.2% Subaru Corp 6.1 M 407.0 K 0.2% Jardine Cycle & Carriage Ltd 6.0 M 235.7 K 0.2% Asahi Kasei Corp 6.0 M 611.9 K 0.2% HMM Co Ltd 5.9 M 427.4 K 0.2% SHENZHOU INTL 5.3 M 892.6 K 0.2% PRADA SpA 5.2 M 1.2 M 0.2% Genting Singapore Ltd 4.9 M 9.3 M 0.1% Sonic Healthcare Ltd 4.4 M 312.2 K 0.1%