1 —SK Square Co. Ltd. 29.91% 29.9% 5,284,453 $4.32B - - 2 —Sk Hynix Inc Common Stock KRW 5000 18.53% 48.4% 1,730,000 $2.68B - - 3 T TSM Taiwan Semiconductor Manufacturing Co. Ltd. 13.26% 61.7% 25,500,000 $1.92B - - 4 —Samsung Electronics Co Ltd 7.57% 69.3% 5,200,000 $1.09B - - 5 —Samsung C&T Corp 4.01% 73.3% 2,017,831 $579.11M - - 6 —Mediatek, Inc. 3.71% 77.0% 3,900,000 $536.59M - - 7 —Reliance Industries Ltd 2.02% 79.0% 21,000,000 $292.05M - - 8 —Alibaba Group Holding Limited Sponsored Adr (1 Ads : 0.125 Ordinary)Consumer Disc. · Internet 1.74% 80.7% 2,020,000 $250.92M Consumer Disc. Internet 9 —Samsung Electronics Pref 0.9 1.10% 81.8% 1,183,100 $158.98M - - 10 —Tencent Holdings Ltd Ordinary SharesComm. Services · Interactive Media 1.01% 82.9% 2,684,000 $146.31M Comm. Services Interactive Media 11 R REL Reliance Inds-Spons GDR 144AEnergy · Oil & Gas 0.91% 83.8% 2,340,879 $130.86M Energy Oil & Gas 12 B BIDU Baidu Inc ADR Class A Comm. Services · Interactive Media 0.64% 84.4% 680,000 $92.01M Comm. Services Interactive Media 13 T TFDXX BlackRock Liquidity Funds FedFund Institutional SharesFinancials · Capital Markets 0.62% 85.0% 89,827,833 $89.83M Financials Capital Markets 14 F FIGXX Fidelity Inv Mmkt Govt-I 12/31/2031 0.62% 85.6% 89,827,833 $89.83M - - 15 F FGTXX Goldman Sachs Fin Gov 465 InstitutFinancials · Capital Markets 0.62% 86.3% 89,827,833 $89.83M Financials Capital Markets 16 M MVRXX Morgan Stanley Institutional Liquidity Funds - Government Portfolio - Institutional ClassFinancials · Capital Markets 0.62% 86.9% 89,827,833 $89.83M Financials Capital Markets 17 —Sk Telecom CO LDComm. Services · Wireless Telecommunication Services 0.62% 87.5% 2,399,800 $89.61M Comm. Services Wireless Telecommunication Services 18 P PBRA Petrobras - Petroleo Brasileiro Sa Unsponsored Adr - Sponsored Level 1Energy · Oil & Gas 0.57% 88.1% 4,900,000 $82.17M Energy Oil & Gas 19 —Samsung Life Insurance Co Ltd Ord Krw500 0.54% 88.6% 300,000 $77.34M - - 20 —Cemex, S.a.b. De C.v. (adr)Materials · Construction Materials 0.46% 89.1% 5,100,000 $66.76M Materials Construction Materials 21 B BSE Bse Ltd 0.45% 89.5% 1,500,000 $65.46M - - 22 F FMX Fomento Economico Mexicano Sab De Cv Cons. Staples · Beverages 0.44% 90.0% 540,000 $64.28M Cons. Staples Beverages 23 —Lg Chem Ltd 0.42% 90.4% 250,000 $60.88M - - 24 L LUPN Lupin Ltd 0.41% 90.8% 2,500,000 $59.68M - - 25 —Itau Unibanco H-Spon Prf AdrFinancials · Banks 0.37% 91.2% 6,744,112 $53.14M Financials Banks 26 B BBD Banco Bradesco SA Financials · Banks 0.36% 91.5% 15,000,000 $52.35M Financials Banks 27 —PDD Holdings IncConsumer Disc. · Internet 0.35% 91.9% 600,000 $50.66M Consumer Disc. Internet 28 A ASII Astra International Tbk Pt Ord Idr50 0.35% 92.2% 180,000,000 $50.36M - - 29 —Ambev S.A. American Depositary Shares (Each Representing 1 Common Share)Cons. Staples · Beverages 0.30% 92.5% 13,500,000 $43.34M Cons. Staples Beverages 30 —Sigmaxyz, Inc.Info Tech · Electronic Equipment 0.30% 92.8% 38,000,000 $43.15M Info Tech Electronic Equipment 31 G GGAL Grupo Financiero Banorte Sab De Cv 0.29% 93.1% 4,000,000 $41.68M - - 32 B BAP Credicorp Ltd - Financials · Banks 0.28% 93.4% 120,000 $41.12M Financials Banks 33 —Hyundai Motor Co 0.26% 93.7% 78,706 $37.76M - - 34 —America Movil-spn ADR Cl L 0.25% 93.9% 1,430,000 $36.29M - - 35 O ONC Beigene Ag 0.25% 94.2% 1,615,700 $36.45M - - 36 —Akbank T.a.s. 0.24% 94.4% 25,000,000 $34.12M - - 37 S SOHU Sohu.com Ltd Comm. Services · Interactive Media 0.21% 94.6% 2,219,642 $29.99M Comm. Services Interactive Media 38 —Unipresident Enterprises Corp.Cons. Staples · Food Products 0.20% 94.8% 28,305,000 $28.39M Cons. Staples Food Products 39 I IRS IRSA Inversiones Y Representaciones 0.19% 95.0% 1,751,834 $27.05M - - 40 G GLEN Glenmark Pharmaceuticals Ltd Ord Inr2 0.19% 95.2% 1,167,988 $27.97M - - 41 T TKC Turkcell Iletisim Hizmetleri As Comm. Services · Diversified Telecom 0.18% 95.4% 4,449,485 $25.45M Comm. Services Diversified Telecom 42 T TACN Tata Consumer Products Ltd 0.18% 95.5% 2,128,276 $26.40M - - 43 E EMBJ Embraer SA Industrials · Aerospace & Defense 0.17% 95.7% 420,704 $24.30M Industrials Aerospace & Defense 44 S SHG Shinhan Financial Group Co Ltd 0.17% 95.9% 400,000 $24.84M - - 45 —Petrochina Company Limited (Class H) 0.17% 96.1% 18,000,000 $25.01M - - 46 N NPN Naspers Ltd-N Shs Sedol Bn0Vx82 0.16% 96.2% 431,990 $22.70M - - 47 —Kaufman & Broad S.a.Cons. Staples · Beverages 0.16% 96.4% 220,000 $23.66M Cons. Staples Beverages 48 T TCOM Trip.com Group Ltd.^ Consumer Disc. · Internet 0.16% 96.5% 500,000 $23.71M Consumer Disc. Internet 49 —Aurobindo Pharma Ltd 0.16% 96.7% 1,500,000 $22.52M - - 50 —Buenaventura Adr RepresentingMaterials · Metals & Mining 0.15% 96.8% 603,884 $22.28M Materials Metals & Mining More holdings · Pro