MCSMX Mutual Fund

MCSMX Mutual Fund

NAV$13.87
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Showing top 50 of 53 holdings · as of Mar 31, 2026
MCSMX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1—Acter Technology Integration Group Co., Ltd.
5.49%
5.5%268,400$4.12M--
2—Wasion Holdings LtdIndustrials · Electrical Equipment
4.85%
10.3%1,004,000$3.64MIndustrialsElectrical Equipment
Share changes, sector and industry · Pro
3—Time Interconnect Technology Ltd
4.08%
14.4%1,532,000$3.06M
4—Hongfa Technology Co., Ltd. A Shares
3.92%
18.3%721,619$2.95M
5—Atour Lifestyle Holdings Ltd
3.90%
22.2%79,642$2.93M
6—Sunresin New Materials Co Ltd
3.78%
26.0%294,500$2.84M
7—Landmark Optoelectronics Corp
3.49%
29.5%50,000$2.62M
8—Minth Group Ltd.
3.23%
32.7%580,000$2.42M
9
ACMR
Acm Research Inc
2.98%
35.7%56,869$2.24M
10—Yantai Jereh Oilfield Services
2.92%
38.6%153,200$2.19M
11—Jiangsu Boqian New Materials Stock Co. Ltd.
2.87%
41.5%159,500$2.16M
12—Wuxi Nce Power Co. Ltd.
2.74%
44.2%382,500$2.06M
13—Sitc International Holdings Co Ltd
2.63%
46.9%450,500$1.97M
14—CASTECH Inc.
2.15%
49.0%161,800$1.62M
15—Xilinmen Furniture Co Ltd
2.08%
51.1%85,200$1.57M
16—Duality Biotherapeutics Inc
2.01%
53.1%39,400$1.51M
17—Kingboard Laminates Holdings Ltd
1.98%
55.1%597,000$1.49M
18—Shenzhen Megmeet Electrical Co., LTD
1.79%
56.9%92,400$1.34M
19—All Ring Tech Co Ltd
1.77%
58.7%53,000$1.33M
20—Hutchmed China Ltd
1.61%
60.3%416,500$1.21M
21—Kingsoft Cloud Holdings Ltd American Depositary Shares, Each Ads Represents 15 Ordinary Shares, Par Value Us$0.001 Per Share
1.55%
61.8%87,266$1.17M
22
CYD
China Yuchai International Ltd
1.52%
63.3%29,561$1.14M
23—Jiangsu Leadmicro Nano-Equipment Technology Ltd
1.38%
64.7%109,201$1.03M
24—DPC Dash Ltd
1.32%
66.0%163,000$993.6K
25—Kaori Heat Treatment Co Ltd
1.30%
67.3%35,000$980.0K
26—Mmg Ltd
1.24%
68.6%983,200$931.5K
27—China Overseas Property Holdings Ltd
1.21%
69.8%1,795,000$910.8K
28—Sigmaxyz, Inc.
1.21%
71.0%1,015,000$909.6K
29—Asmpt Ltd
1.20%
72.2%69,900$904.8K
30—Xd Inc
1.19%
73.4%114,200$891.1K
31—Greentown China Holdings Ltd
1.18%
74.6%792,500$887.7K
32—Neway Valve Suzhou Co Ltd
1.18%
75.7%124,500$883.2K
33—Xuji Electric Co Ltd
1.14%
76.9%214,300$858.6K
34—Zhejiang Shuanghuan Driveline Co. Ltd. Class A
1.12%
78.0%159,303$844.3K
35—Shanghai Conant Optical Co., Ltd. (Class H)
1.08%
79.1%135,700$808.9K
36—Elite Material Co Ltd
1.02%
80.1%9,000$768.1K
37—Beijing Huafeng Test & Control Technology Co., Ltd. - Class A
1.02%
81.1%19,848$766.9K
38—ENN Natural Gas Co Ltd
1.01%
82.1%235,542$758.5K
39—China Everbright Environment Group Ltd
1.01%
83.1%1,103,000$758.9K
40—Montage Technology Co Ltd H
1.00%
84.1%38,400$754.2K
41—Minimax Group, Inc.
0.94%
85.1%5,960$706.5K
42—Sany Heavy Equipment International Holdings Company Limited
0.89%
86.0%470,000$667.4K
43—Win Semiconductors Corp
0.81%
86.8%56,000$609.5K
44—Browave Corp
0.71%
87.5%22,000$536.8K
45—Yuexiu Property Co Ltd
0.71%
88.2%1,099,000$533.0K
46—Giant Biogene Holding Co Ltd
0.70%
88.9%149,400$528.1K
47—Precision Tsugami China Corp Ltd
0.68%
89.6%115,000$507.2K
48—Ememory Technology Inc
0.68%
90.3%6,000$510.9K
49—Sunevision Holdings Ltd
0.62%
90.9%662,000$463.5K
50—Grand Pharmaceutical Group L
0.61%
91.5%499,000$457.7K
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MCSMX Mutual Fund All Holdings

MCSMX holdings total 55 positions. The top 10 holdings account for 38.6% of the fund, led by Acter Technology Integration Group Co., Ltd. at 5.5%, Wasion Holdings Ltd at 4.8%, Time Interconnect Technology Ltd at 4.1%.

MCSMX portfolio concentration is moderate, with the top 10 representing 38.6% of total assets. The largest sector exposure is Information Technology at 7.7%.

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