Ishares Msci Mexico EtfFinancials · Capital Markets
0.02%
96.8%
2,712
$204.0K
Financials
Capital Markets
28
—
Fx Forward Contract: PLN/USD Settle 2026-05-06
0.02%
96.8%
173
$229.2K
-
-
29
—
Purchased TRY / Sold USD
0.02%
96.9%
450
$278.4K
-
-
30
Debt
Fannie Mae Pool Dd2869
0.02%
96.9%
131
$249.7K
-
-
31
—
3 Month Sofr Opt Dec27C 96.37
0.02%
96.9%
138
$227.7K
-
-
32
Debt
Romanian Government Bond
0.02%
96.9%
168
$264.6K
-
-
33
—
International Bank For Reconstruct 4.638/01/2028
0.02%
96.9%
128
$247.2K
-
-
34
—
3 Month Sofr Opt Jun27C 96
0.02%
96.9%
149
$271.9K
-
-
35
—
Ois Recfix USD 4.0135% 08-21-23/08-21-33 Lch
0.01%
97.0%
119
$94.5K
-
-
36
Debt
Virginia Elec + Power Co Sr Unsecured 03/36 4.95
0.01%
97.0%
1
$165.2K
-
-
37
Debt
Medtronic Global Holdings Sca
0.01%
97.0%
1
$86.8K
-
-
38
—
Iop015815 Eqo Xlv.P USD
0.01%
97.0%
8,292
$122.1K
-
-
39
Debt
Baxter International Inc
0.01%
97.0%
1
$153.1K
-
-
40
—
3 Month Sofr Opt Sep26C 96.5
0.01%
97.0%
368
$126.5K
-
-
41
—
3 Month Sofr Opt Sep27C 96.25
0.01%
97.0%
66
$109.7K
-
-
42
Debt
Danske Bank A/S
0.01%
97.0%
11,258,246
$74.2K
-
-
43
—
Purchased Chf / Sold Usd
0.01%
97.0%
475
$166.3K
-
-
44
—
Bs39Gz9 Irs USD P F 2.54500 Is39Gz9 Ccpinflationzero
0.01%
97.1%
1
$59.2K
-
-
45
Debt
Venator Material, Llc, Term Loan, (3-Month Usd Cme Term Sofr + 2.00%)
0.01%
97.1%
6,065,000
$86.8K
-
-
46
—
Achmea Bank Nv Regs 2.5% Jun 25, 2030
0.01%
97.1%
1
$136.0K
-
-
47
—
3 Month Sofr Opt Dec26C 96.37
0.01%
97.1%
119
$88.5K
-
-
48
—
3 Month Sofr Opt Mar27C 96.25
0.01%
97.1%
65
$76.4K
-
-
49
—
Purchased USD / Sold GBP
0.01%
97.1%
1
$81.3K
-
-
50
—
3 Month Sofr Opt Jun27C 96.25
0.01%
97.1%
65
$92.2K
-
-
More holdings · Pro
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GGPPX Mutual Fund All Holdings
GGPPX holdings total 143 positions. The top 10 holdings account for 79.8% of the fund, led by Gs Marketbeta US Large & Mid Cap Equity ETF at 15.8%, Goldman Sachs Large Cap Value Insights Fund at 12.2%, Goldman Sachs Large Cap Growth Insights Fund at 11.8%.
GGPPX portfolio concentration is relatively high, with the top 10 representing 79.8% of total assets. The largest sector exposure is Financials at 7.1%.
GGPPX sectors provide a detailed breakdown. GGPPX overlap shows how holdings compare to other funds in your portfolio.