MOTO ETF largest holding is TSM:TW at 5.15% as of Jul 29, 2026

MOTO ETF largest holding is TSM:TW at 5.15% as of Jul 29, 2026
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TSM:TW is MOTO's largest holding at 5.15% of the fund as of Jul 29, 2026. MOTO is Guinness Atkinson Smart Transportation & Technology ETF.

Showing top 39 of 39 holdings · as of Jul 29, 2026
MOTO holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1Taiwan Semiconductor - AdrInfo Tech · Semiconductors
5.15%
5.2%1,212$454.1KInfo TechSemiconductors
2QuantaIndustrials · Construction
4.71%
9.9%740$415.2KIndustrialsConstruction
Sector and industry · Pro
3
APH
Amphenol Corp. Class A
4.44%
14.3%2,604$391.4K
4
GOOG
Alphabet Inc. C
4.18%
18.5%1,098$368.7K
5
IFX
Infineon Technologies AG Infineon Technologies Agnamens Aktien O N
4.15%
22.6%5,874$366.4K
6
ADI
Analog Devices, Inc.
4.11%
26.7%1,026$362.6K
7
NVDA
Nvidia Corp.
4.09%
30.8%1,900$361.0K
8
VOL.B
Volvo Ab
4.01%
34.8%9,396$354.0K
9
SIE
Siemens N Ag
3.70%
38.5%1,050$326.1K
10
ETN
Eaton Corp Plc
3.63%
42.2%886$320.6K
11Geely Automobile Holdings Ltd. Shs
3.26%
45.4%111,000$287.3K
12
TEL
TE Connectivity PLC
3.21%
48.6%1,368$283.1K
13
ST
Sensata Technologies Holding Plc Ordinary Shares
3.17%
51.8%6,084$279.9K
14
DAN
Dana Inc
3.16%
55.0%10,386$278.4K
15
NXPI
Nxp Semiconductors Nv Sedol B505Pn7
3.11%
58.1%1,140$274.7K
16Saudi Arabian Mining Co
3.04%
61.1%22,500$268.5K
17Kia Motors Corp
2.99%
64.1%3,168$264.0K
18Renesas Electronics Corp
2.79%
66.9%12,700$246.2K
19
ON
On Semiconductor Corp
2.64%
69.5%2,958$233.3K
20
TSLA
Tesla Inc
2.50%
72.0%740$220.8K
21
DAR
Darling Ingredients, Inc.
2.42%
74.5%3,648$213.8K
22
JMAT
Johnson Matthey Plc
2.42%
76.9%8,118$213.4K
23
HEXAB
Hexpol Class B
2.25%
79.1%19,992$198.5K
24Denso Corp
2.11%
81.2%13,800$186.3K
25
POWI
Power Integration Inc.
2.07%
83.3%3,228$182.6K
26
THRM
Gentherm Inc
1.97%
85.3%4,044$173.4K
27
MBG.N
Mercedes Benz Group AG
1.86%
87.1%3,054$163.8K
28Samsung Sdi Co Ltd
1.80%
88.9%632$159.2K
29
APTV
Aptiv Plc Ordinary Shares
1.63%
90.6%2,484$144.0K
30
CONG
Continental Ag
1.62%
92.2%1,764$142.9K
31DebtHarris County Hospital District
1.56%
93.8%137,960$138.0K
32
SWKS
Skyworks Solutions Inc.
1.38%
95.1%1,986$121.5K
33Volkswagen Ag, Preferred
1.33%
96.5%1,356$117.0K
34Lg Chem Ltd
0.97%
97.4%534$85.9K
35
DTG
Daimler Truck Holding Ag Daimler Truck Ag ADR
0.80%
98.2%1,273$70.8K
36
MBLY
Mobileye Global Inc A
0.54%
98.8%6,000$48.1K
37Aumovio N
0.43%
99.2%894$37.7K
38
VGNT
Versigent Limited
0.40%
99.6%828$35.6K
39Octave Intelligence Sdr Plc
0.40%
100.0%1,999$35.1K
Not reported for this fund: share changes.
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MOTO ETF All Holdings

MOTO holdings total 36 positions. The top 10 holdings account for 42.2% of the fund, led by Taiwan Semiconductor - Adr at 5.2%, Quanta at 4.7%, Amphenol Corp. Class A at 4.4%.

MOTO portfolio concentration is moderate, with the top 10 representing 42.2% of total assets. The largest sector exposure is Information Technology at 27.5%.

MOTO sectors provide a detailed breakdown. MOTO overlap shows how holdings compare to other funds in your portfolio.

MOTO ETF Holdings

39 of 36 holdings

  • 1

    Taiwan Semiconductor - Adr

    TSM:TWInformation Technology
    5.15%
  • 2

    Quanta

    PWRIndustrials
    4.71%
  • 3

    Amphenol Corp. Class A

    APHInformation Technology
    4.44%
  • 4

    Alphabet Inc. C

    GOOGCommunication Services
    4.18%
  • 5

    Infineon Technologies AG Infineon Technologies Agnamens Aktien O N

    IFX:FFUnknown
    4.15%
  • 6

    Analog Devices, Inc.

    ADIInformation Technology
    4.11%
  • 7

    Nvidia Corp.

    NVDAInformation Technology
    4.09%
  • 8

    Volvo Ab

    VOL.B:STConsumer Discretionary
    4.01%
  • 9

    Siemens N Ag

    SIE:SGUnknown
    3.70%
  • 10

    Eaton Corp Plc

    ETNIndustrials
    3.63%
  • 11

    Geely Automobile Holdings Ltd. Shs

    0175:HKUnknown
    3.26%
  • 12

    TE Connectivity PLC Common Stock

    TELIndustrials
    3.21%
  • 13

    Sensata Technologies Holding Plc Ordinary Shares

    STIndustrials
    3.17%
  • 14

    Dana Inc

    DANConsumer Discretionary
    3.16%
  • 15

    Nxp Semiconductors Nv Sedol B505Pn7

    NXPIInformation Technology
    3.11%
  • 16

    Saudi Arabian Mining Co

    1211:SAConsumer Discretionary
    3.04%
  • 17

    Kia Motors Corp

    000270:KRUtilities
    2.99%
  • 18

    Renesas Electronics Corp

    6723:JPUnknown
    2.79%
  • 19

    On Semiconductor Corp

    ONInformation Technology
    2.64%
  • 20

    Tesla Inc

    TSLAConsumer Discretionary
    2.50%
  • 21

    Darling Ingredients, Inc.

    DARMaterials
    2.42%
  • 22

    Johnson Matthey Plc

    JMAT:LNMaterials
    2.42%
  • 23

    Hexpol Class B

    HEXAB:STUnknown
    2.25%
  • 24

    Denso Corp

    6902:JPUnknown
    2.11%
  • 25

    Power Integration Inc.

    POWIInformation Technology
    2.07%
  • 26

    Gentherm Inc

    THRMConsumer Discretionary
    1.97%
  • 27

    Mercedes Benz Group AG

    MBG.N:DBUnknown
    1.86%
  • 28

    Samsung Sdi Co Ltd

    006400:KRUnknown
    1.80%
  • 29

    Aptiv Plc Ordinary Shares

    APTVConsumer Discretionary
    1.63%
  • 30

    Continental Ag

    CONG:FFConsumer Discretionary
    1.62%
  • 31

    Harris County Hospital District 5.25 02/15/2050

    Other
    1.56%
  • 32

    Skyworks Solutions Inc.

    SWKSInformation Technology
    1.38%
  • 33

    Volkswagen Ag, Preferred

    VOWG.P:FFConsumer Discretionary
    1.33%
  • 34

    Lg Chem Ltd

    051910:KRUnknown
    0.97%
  • 35

    Daimler Truck Holding Ag Daimler Truck Ag ADR

    DTG:SGUnknown
    0.80%
  • 36

    Mobileye Global Inc A

    MBLYInformation Technology
    0.54%
  • 37

    Aumovio N

    AMV0:ATUnknown
    0.43%
  • 38

    Versigent Limited

    VGNTUnknown
    0.40%
  • 39

    Octave Intelligence Sdr Plc

    OCTVSDB:STUnknown
    0.40%