Principais ativos Market Value Shares Weight %
Emirates Telecommunications Group Co PJSC 2.4 M 464.4 K 0.9%
Canadian Tire Corp Ltd 2.4 M 17.6 K 0.9%
CLP Holdings Ltd 2.4 M 257.0 K 0.9%
C COCSF Coca-Cola Femsa SAB de CV 2.4 M 225.5 K 0.9%
Kansai Paint Co Ltd 2.4 M 146.2 K 0.9%
S SNYNF Sanofi SA 2.4 M 27.6 K 0.9%
Deutsche Post AG 2.4 M 38.8 K 0.9%
KT&G Corp 2.4 M 21.5 K 0.9%
International Games System Co Ltd 2.4 M 95.0 K 0.9%
DKSH Holding AG 2.3 M 30.4 K 0.9%
Allianz SE 2.3 M 4 884.0 0.9%
Nestle SA 2.3 M 22.2 K 0.9%
CK Infrastructure Holdings Ltd 2.3 M 300.8 K 0.9%
Julius Baer Group Ltd 2.3 M 26.4 K 0.9%
T TKPHF Takeda Pharmaceutical Co Ltd 2.2 M 69.4 K 0.8%
Japan Metropolitan Fund Invest 2.2 M 3 190.0 0.8%
LG Corp 2.2 M 34.3 K 0.8%
China Merchants Bank Co Ltd 2.1 M 374.5 K 0.8%
Cembra Money Bank AG 2.1 M 18.0 K 0.8%
Hikma Pharmaceuticals PLC 2.1 M 104.1 K 0.8%