Ключевые активы Market Value Shares Weight %
Mount Vernon Liquid Assets Portfolio, LLC 1.29 M 1.29 M 7.03% Kuehne + Nagel International A 908.26 K 4 028.00 4.94% First American Government Obli 905.64 K 905.64 K 4.93% B
BWLP BW LPG Ltd 878.87 K 49.71 K 4.78% SITC International Holdings Co 861.61 K 198.24 K 4.69% Wan Hai Lines Ltd 838.24 K 347.58 K 4.56% Evergreen Marine Corp Taiwan L 820.43 K 131.47 K 4.47% COSCO SHIPPING Holdings Co Ltd 817.84 K 430.39 K 4.45%
HAFN Hafnia Ltd 799.36 K 105.18 K 4.35% OOIL 787.25 K 44.38 K 4.29%