MPACX Mutual Fund

MPACX Mutual Fund

NAV$36.95
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Showing top 50 of 54 holdings · as of Mar 31, 2026
MPACX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1Net Cash
9.91%
9.9%20,734,054$20.73M--
2Samsung Electronics Co Ltd
7.57%
17.5%134,069$15.84M--
3Taiwan Semiconductor Manufacturing Co. Ltd.
7.36%
24.8%266,000$15.38M--
4Samsung Electro-Mechanics Co Ltd
4.01%
28.9%28,940$8.38M--
5
DELTA
Delta Electronics Inc.
3.69%
32.5%171,000$7.71M--
6Tencent Holdings Ltd Ordinary SharesComm. Services · Interactive Media
3.51%
36.0%116,400$7.34MComm. ServicesInteractive Media
7
SKHY
Sk Hynix Inc
3.48%
39.5%12,708$7.28M--
8
BABA
Alibaba Group Holding Limited Ordinary Shares
3.28%
42.8%437,500$6.86M--
9Contemporary Amperex Technology Con Ltd.
3.22%
46.0%113,500$6.74M--
10Hanwha Aerospace Co Ltd
2.88%
48.9%7,000$6.03M--
11Hitachi Ltd
2.42%
51.3%172,800$5.07M--
12Mitsubishi Electric Corp. Ordinary Shares
2.27%
53.6%145,000$4.74M--
13Naura Technology Group Co Ltd
2.05%
55.6%64,905$4.28M--
14Unimicron Technology Corp
2.04%
57.7%310,000$4.27M--
15Tokyo Electron Ltd
1.91%
59.6%16,100$4.00M--
16Shin-etsu Chemical Co., Ltd.
1.84%
61.4%94,600$3.85M--
17
SONY
Sony Group Corp
1.75%
63.2%175,200$3.65M--
18Sieyuan Electric Co. Ltd. Class A
1.61%
64.8%113,600$3.37M--
19Hd Hyundai Electric Co. Ltd.
1.53%
66.3%5,584$3.20M--
20
YUMC
Yum China Holdings IncConsumer Disc. · Hotels & Leisure
1.47%
67.8%62,841$3.07MConsumer Disc.Hotels & Leisure
21Advanced Micro Fabrication Equipment Inc. A CNY1
1.46%
69.3%67,488$3.06M--
22Hd Hyundai
1.38%
70.6%8,921$2.89M--
23
PCRFY
Panasonic Holdings Corp
1.33%
72.0%165,500$2.78M--
24Hon Precision Inc
1.27%
73.2%24,000$2.66M--
25Rio Tinto Finance Plc
1.23%
74.5%22,667$2.58M--
26Samsung C&T Corp
1.17%
75.6%13,877$2.46M--
27Sungrow Power Supply Co. Ltd. Class A
1.14%
76.8%107,100$2.39M--
28Ememory Technology Inc
1.14%
77.9%28,000$2.38M--
29Innovent Biologics IncHealth Care · Biotechnology
1.10%
79.0%209,500$2.30MHealth CareBiotechnology
30Taiwan Semiconductor - AdrInfo Tech · Semiconductors
1.04%
80.1%6,414$2.17MInfo TechSemiconductors
31Mirae Asset Securities Co Ltd
1.03%
81.1%50,065$2.14M--
32Kawasaki Heavy Industries, Ltd.
1.03%
82.1%114,000$2.14M--
33Sumitomo Electric
0.98%
83.1%36,100$2.05M--
34Reliance Industries Ltd
0.97%
84.1%141,566$2.04M--
35Fujitsu Ltd
0.97%
85.0%98,900$2.02M--
36Montage Technology Co Ltd
0.97%
86.0%103,700$2.04M--
37Minimax Group, Inc.
0.96%
87.0%16,920$2.01M--
38Wuxi Xdc Cayman Inc
0.96%
87.9%265,500$2.01M--
39Kia Corp
0.94%
88.9%19,805$1.98M--
40Yantai Jereh Oilfield Services
0.94%
89.8%137,843$1.97M--
41Accton Technology Corp
0.94%
90.7%40,000$1.97M--
42Mediatek, Inc.
0.89%
91.6%39,000$1.87M--
43Jiangsu Hengli Hydraulic Co Ltd
0.89%
92.5%131,800$1.86M--
44Hyundai Rotem Co Ltd
0.88%
93.4%15,792$1.84M--
45Delhivery Ltd
0.85%
94.3%400,860$1.78M--
46Landmark Optoelectronics Corp
0.83%
95.1%33,000$1.73M--
47Bharti Airtel Ltd
0.82%
95.9%90,150$1.71M--
48Win Semiconductors Corp
0.67%
96.6%129,000$1.40M--
49Aspeed Technology Inc
0.66%
97.2%4,000$1.38M--
50Kaori Heat Treatment Co Ltd
0.63%
97.9%47,000$1.32M--
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MPACX Mutual Fund All Holdings

MPACX holdings total 54 positions. The top 10 holdings account for 48.9% of the fund, led by Net Cash at 9.9%, Samsung Electronics Co Ltd at 7.6%, Taiwan Semiconductor Manufacturing Co. Ltd. at 7.4%.

MPACX portfolio concentration is moderate, with the top 10 representing 48.9% of total assets. The largest sector exposure is Communication Services at 3.5%.

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