EWM ETF largest holding is PUBM:MY at 15.52% as of Jun 30, 2026

EWM ETF largest holding is PUBM:MY at 15.52% as of Jun 30, 2026
$28.04

PUBM:MY is EWM's largest holding at 15.52% of the fund as of Jun 30, 2026. EWM is iShares MSCI Malaysia ETF.

Showing top 26 of 26 holdings · as of Jun 30, 2026
EWM holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1Public Bank
15.52%
15.5%38,810,500$46.65M--
2
MBBM
Malayan Banking
13.64%
29.2%15,307,581$41.00M--
3
CIMB
Cimb Group Holdings Bhd
12.94%
42.1%20,874,612$38.89M--
4
TENA
Tenaga Nasional
8.14%
50.2%6,988,112$24.46M--
5Press Metal Aluminium Holdings
6.09%
56.3%9,876,400$18.30M--
6
GAMU
Gamuda BhdIndustrials · Construction
4.56%
60.9%13,497,618$13.71MIndustrialsConstruction
7
AMMB
Ammb Holdings Bhd
3.51%
64.4%6,625,337$10.54M--
8-
3.32%
67.7%4,941,002$9.98M--
9
IHH
Ihh Healthcare Bhd Common Stock 0 Nan
3.12%
70.8%4,592,900$9.37M--
10Hong Leong Bank Berhad
3.07%
73.9%1,731,740$9.24M--
11
PGAS
Petronas Gas BHD
3.01%
76.9%2,109,800$9.04M--
12
SWB
Sunway Bhd
3.01%
79.9%7,255,500$9.06M--
13
YTLP
Ytl Power International Bhd
2.87%
82.8%8,113,880$8.62M--
14
SDG
SD Guthrie Bhd.
2.77%
85.6%5,529,655$8.32M--
15
MISC
Misc Bhd
2.29%
87.9%3,569,520$6.87M--
16
PCGB
Petronas Chemicals Group Bhd
2.26%
90.1%6,396,400$6.78M--
17
KLK
Kuala Lumpur Kepong
2.22%
92.3%1,264,989$6.68M--
18Ioi Corp., Bhd
2.19%
94.5%6,282,030$6.60M--
19Telekom Malaysia
1.88%
96.4%3,068,900$5.66M--
20
CDB
Digi.com BHD
1.83%
98.2%7,818,000$5.49M--
21
MAXIS
-
1.61%
99.9%5,729,900$4.84M--
22Cfd Siteone Landscape Supply Inc
0.08%
99.9%247,759$247.8K--
23Bought KRW Sold USD 20251022
0.07%
100.0%897,802$219.8K--
24DebtVelocity Commercial Capital Lo
0.01%
100.0%18,000$18.0K--
25DebtBlk Csh Fnd Treasury Sl AgencyFinancials · Capital Markets
0.00%
100.0%1$1FinancialsCapital Markets
26Forward Foreign Currency Contract
0.00%
100.0%5---
Not reported for this fund: share changes.

EWM ETF All Holdings

EWM holdings total 26 positions. The top 10 holdings account for 73.9% of the fund, led by Public Bank at 15.5%, Malayan Banking at 13.6%, Cimb Group Holdings Bhd at 12.9%.

EWM portfolio concentration is relatively high, with the top 10 representing 73.9% of total assets. The largest sector exposure is Industrials at 4.6%.

EWM sector allocation provides a detailed breakdown. EWM overlap tool shows how holdings compare to other funds in your portfolio.

EWM ETF Holdings

26 of 26 holdings

  • 1

    Public Bank

    PUBM:MYUnknown
    15.52%
  • 2

    Malayan Banking

    MBBM:MYUnknown
    13.64%
  • 3

    Cimb Group Holdings Bhd

    CIMB:MYUnknown
    12.94%
  • 4

    Tenaga Nasional

    TENA:MYUnknown
    8.14%
  • 5

    Press Metal Aluminium Holdings

    PMETAL:MYUnknown
    6.09%
  • 6

    Gamuda Bhd

    GAMU:MYIndustrials
    4.56%
  • 7

    Ammb Holdings Bhd

    AMMB:MYUnknown
    3.51%
  • 8

    Rhb Bank

    RHBBANK:MYUnknown
    3.32%
  • 9

    Ihh Healthcare Bhd Common Stock 0 Nan

    IHH:MYUnknown
    3.12%
  • 10

    Hong Leong Bank Berhad

    HLBANK:MYUnknown
    3.07%
  • 11

    Petronas Gas BHD

    PGAS:MYUnknown
    3.01%
  • 12

    Sunway Bhd

    SWB:MYUnknown
    3.01%
  • 13

    Ytl Power International Bhd

    YTLP:MYUnknown
    2.87%
  • 14

    SD Guthrie Bhd.

    SDG:MYUnknown
    2.77%
  • 15

    Misc Bhd

    MISC:MYUnknown
    2.29%
  • 16

    Petronas Chemicals Group Bhd

    PCGB:MYUnknown
    2.26%
  • 17

    Kuala Lumpur Kepong

    KLK:MYUnknown
    2.22%
  • 18

    Ioi Corp., Bhd

    IOICORP:MYUnknown
    2.19%
  • 19

    Telekom Malaysia

    TM:MYUnknown
    1.88%
  • 20

    Digi.com BHD

    CDB:MYUnknown
    1.83%
  • 21

    Maxis

    MAXIS:MYUnknown
    1.61%
  • 22

    Cfd Siteone Landscape Supply Inc

    Other
    0.08%
  • 23

    Bought KRW Sold USD 20251022

    Other
    0.07%
  • 24

    Velocity Commercial Capital Lo 3.19 02/25/2050

    Other
    0.01%
  • 25

    Blk Csh Fnd Treasury Sl Agency

    XTSLAFinancials
    0.00%
  • 26

    Forward Foreign Currency Contract

    Other
    0.00%