AZMAX Mutual Fund

AZMAX Mutual Fund

NAV$24.08
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Showing top 50 of 79 holdings · as of Jul 31, 2026
AZMAX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
TSM
Taiwan Semiconductor Manufacturing Co. Ltd.
16.97%
17.0%35,121$2.64M--
2Samsung Electronics Co Ltd
7.72%
24.7%6,514$1.20M--
3
SKHY
Sk Hynix
6.06%
30.7%781$941.1K--
4
BABA
Alibaba Group Holding Limited Ordinary Shares
4.26%
35.0%44,323$661.3K--
5
JD
JD.com Inc
3.88%
38.9%37,127$601.7K--
6TENCENTHLDGSLTD
3.27%
42.2%8,380$507.8K--
7Foxconn Industrial Internet Co. Ltd. Class A
2.67%
44.8%49,400$415.1K--
8Advanced Micro Fabrication Equipment Inc. A CNY1
1.49%
46.3%4,547$231.8K--
9Nan Ya Plastics Corp
1.43%
47.8%45,000$222.1K--
10Eternal Ltd
1.36%
49.1%66,731$211.5K--
11Taishin Financial Holding Co Ltd
1.23%
50.3%171,700$191.0K--
12Yuanta Financial Holding Co Ltd
1.22%
51.6%90,000$189.6K--
13Sumitomo Metal Mining Co., Ltd. Com Stk
1.16%
52.7%3,500$180.1K--
14
SIEE
Siemens Energy India Limited
1.15%
53.9%5,263$178.2K--
15Citic Securities Co Ltd
1.13%
55.0%41,800$176.1K--
16Cia Paranaense De EnergiaUtilities · Electric Utilities
1.11%
56.1%58,900$172.5KUtilitiesElectric Utilities
17Asml Holding Adr Representing NvInfo Tech · Semiconductors
1.11%
57.2%105$173.0KInfo TechSemiconductors
18
GDS
Gds Holdings Ltd
1.10%
58.3%43,200$171.3K--
19Bharti Airtel Ltd
1.09%
59.4%8,156$168.6K--
20
BHEL
Bharat Heavy Electricals Limited (Bhel)
1.09%
60.5%39,812$169.8K--
21Wiwynn Corp
1.07%
61.6%1,000$166.8K--
22Keda Clean Energy Co. Ltd. Class A
1.05%
62.6%66,800$163.2K--
23Cia De Saneamento Basico Do Estado De Sao Paulo
1.02%
63.6%29,100$158.2K--
24Mitsubishi Corp
1.01%
64.7%5,200$156.1K--
25
GETD
Ge Vernova T&D India Ltd
1.01%
65.7%3,461$156.8K--
26Hon Hai Precision Industry Co., Ltd.
1.00%
66.7%20,000$155.0K--
27Emaar Development Pjsc
0.99%
67.7%43,516$153.1K--
28Delta Electronics Inc
0.98%
68.6%3,000$152.2K--
29Japan Post Bank Co. Ltd. Com Stk
0.96%
69.6%7,600$148.6K--
30Shenzhen Longsys Electronics Co Ltd
0.96%
70.5%2,900$149.1K--
31
TUPRS
Tupras-turkiye Petrol Rafinerileri A.s.
0.95%
71.5%23,772$148.1K--
32Huaqin Technol-A
0.94%
72.4%12,160$146.5K--
33Mmg LtdMaterials · Metals & Mining
0.94%
73.4%136,000$145.5KMaterialsMetals & Mining
34S-oil Corp
0.90%
74.3%1,572$140.4K--
35Zhejiang Hailiang Co Ltd
0.89%
75.2%50,800$138.3K--
36Contemporary Amperex Technology Co Ltd Ordinary Shares - Class H
0.87%
76.0%1,700$134.9K--
37Accton Technology Corp
0.85%
76.9%2,000$131.5K--
38Hyundai Heavy Industries Co., Ltd.
0.83%
77.7%383$129.2K--
39Shannon Semiconductor Technology Co Ltd
0.82%
78.5%5,900$127.5K--
40Montage Technology Co Ltd
0.78%
79.3%3,983$121.0K--
41Steel Authority of India Ltd
0.77%
80.1%67,749$120.0K--
42Mitac Holdings Corp
0.77%
80.9%44,000$119.0K--
43Embraer Sa 0.00
0.76%
81.6%6,900$118.5K--
44Wistron Corp
0.74%
82.4%21,000$114.4K--
45Acter Group Corp Ltd
0.74%
83.1%4,000$114.5K--
46
NAFL
Navin Fluorine International Ltd
0.70%
83.8%1,367$108.4K--
47Samsung Electronics Pref 0.00
0.70%
84.5%811$108.6K--
48Petro Rio Sa
0.70%
85.2%9,020$108.6K--
49Guangzhou Tinci Materials Technology Co. Ltd. Class A
0.68%
85.9%19,800$104.9K--
50Hans Laser Technology Industr
0.67%
86.5%8,300$104.0K--
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AZMAX Mutual Fund All Holdings

AZMAX holdings total 99 positions. The top 10 holdings account for 49.1% of the fund, led by Taiwan Semiconductor Manufacturing Co. Ltd. at 17.0%, Samsung Electronics Co Ltd at 7.7%, Sk Hynix at 6.1%.

AZMAX portfolio concentration is moderate, with the top 10 representing 49.1% of total assets. The largest sector exposure is Materials at 1.3%.

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