PWITX Mutual Fund

PWITX Mutual Fund

NAV$21.79
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Showing top 50 of 367 holdings · as of Apr 30, 2026
PWITX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
NESN
Nestle Sa
2.06%
2.1%149,689$15.15M--
2
DBSM
DBS Group Holdings Ltd Dbs Group Holdings Ltd
1.66%
3.7%265,255$12.23M--
Share changes, sector and industry · Pro
3Deutsche Post AG Ordinary Shares
1.51%
5.2%187,855$11.12M
4
SAF
Safran Sa
1.49%
6.7%34,101$10.95M
5Banco Santander S.a.
1.46%
8.2%883,584$10.78M
6
LYG
Lloyds Banking Group PLC Shs
1.41%
9.6%7,616,973$10.35M
7
SHEL
Shell plc
1.36%
10.9%220,318$10.02M
8Panasonic Corp
1.33%
12.3%479,600$9.81M
9
SNY
Sanofi SA
1.32%
13.6%103,627$9.70M
10
ENEI
Enel Spa
1.29%
14.9%812,876$9.49M
11Taiwan Semiconductor - Adr
1.24%
16.1%23,133$9.16M
12
SONY
Sony Group Corp
1.22%
17.3%447,600$8.97M
13United Overseas Bank Ltd. United Overseas Bank Limited
1.20%
18.5%311,298$8.87M
14
ABBN
ABB Ltd.
1.18%
19.7%85,973$8.70M
15
SGEF
Vinci Sa
1.14%
20.9%55,323$8.37M
16Mitsubishi Electric Corp. Com Stk
1.13%
22.0%206,900$8.30M
17
ALVG
Allianz Se
1.11%
23.1%17,828$8.14M
18Hsbc Holdings Plc
1.10%
24.2%440,429$8.10M
19Aia Group Ltd. Shs
1.07%
25.3%715,288$7.85M
20Recruit Holdings Co. Ltd. Com Stk
1.04%
26.3%164,960$7.64M
21Keyence Corp
1.03%
27.3%16,618$7.62M
22CK Hutchison Holdings Ltd. Shs
1.01%
28.4%894,000$7.47M
23Astrazeneca Plc
1.00%
29.4%38,813$7.36M
24GSK plc
0.99%
30.3%278,582$7.30M
25Roche Holding Ag /Chf/ 0.00000000
0.96%
31.3%17,259$7.03M
26Asml Holding Adr Representing Nv
0.91%
32.2%4,650$6.69M
27Waste Connections Inc
0.91%
33.1%40,673$6.70M
28Snam Spa
0.90%
34.0%841,096$6.63M
29Otsuka Holdings Co., Ltd. Com Stk
0.90%
34.9%91,400$6.66M
30Fanuc Corp
0.88%
35.8%146,537$6.47M
31Dell International Llc / Emc 144a
0.87%
36.7%49,206$6.38M
32Fujifilm Holdings Corp. Shs
0.85%
37.5%341,500$6.28M
33
PRX
Prosus N V
0.84%
38.4%127,126$6.15M
34
MRCG
Merck Kgaa
0.83%
39.2%47,023$6.09M
35
NRDBY
Nordea Bank Abp
0.82%
40.0%321,534$6.05M
36Canadian Pacific Kansas City Ltd Common Stock Cad
0.81%
40.8%68,322$5.94M
37Genmab A/s
0.81%
41.6%22,572$5.98M
38
GALD
Galderma Group Ag.
0.80%
42.4%28,132$5.90M
39
BNPP
Bnp Paribas
0.79%
43.2%55,160$5.79M
40Kddi Corp
0.78%
44.0%351,800$5.76M
41
UCG
Unicredit Spa
0.76%
44.8%72,299$5.59M
42
BOUY
Bouygues Sa
0.75%
45.5%93,241$5.51M
43Brookfield Renewable Corporation Class A Subordinate Voting Shares
0.74%
46.3%150,928$5.47M
44
PERP
Pernod Ricard Sa
0.74%
47.0%73,647$5.48M
45
FMG
Fortescue Metals Group Ltd. Ordinary Fully Paid
0.74%
47.7%378,737$5.46M
46
ABF
Associated British Foods PLC Shs
0.73%
48.5%217,173$5.41M
47Bp Plc
0.72%
49.2%672,644$5.32M
48
BTI
British American Tobacco P.l.c
0.72%
49.9%90,182$5.31M
49
NHY
Norsk Hydro A S Ads Ordinary Shares
0.71%
50.6%469,204$5.19M
50
CPYYY
Centrica Plc
0.71%
51.3%1,779,522$5.20M
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PWITX Mutual Fund All Holdings

PWITX holdings total 380 positions. The top 10 holdings account for 14.9% of the fund, led by Nestle Sa at 2.1%, DBS Group Holdings Ltd Dbs Group Holdings Ltd at 1.7%, Deutsche Post AG Ordinary Shares at 1.5%.

PWITX portfolio concentration is well-diversified, with the top 10 representing 14.9% of total assets. The largest sector exposure is Industrials at 6.2%.

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