Amundi MSCI Semiconductors vs iShares EM Dividend

Amundi MSCI Semiconductors vs iShares EM Dividend

1. Amundi MSCI Semiconductors

  • Security

    Amundi MSCI Semiconductors ESG Screened UCITS ETF Acc

  • Fee

    0.35%

  • ISIN

    LU1900066033

  • Holdings

    25

2. iShares EM Dividend

  • Security

    iShares EM Dividend UCITS ETF USD Dist

  • Fee

    0.65%

  • ISIN

    IE00B652H904

  • Holdings

    26

Fund Holdings

We have information about 31 holdings in Amundi MSCI Semiconductors, where the largest holding is Nvidia (27.13), followed by Broadcom (16.19) and TSMC (14.59). In comparison with iShares EM Dividend, we have 26 holdings where Petróleo Brasileiro is the largest holding (5.91), followed by Vale (3.61) and Evergreen Marine Corp (3.39).

All Holdings

Here we compare the holdings in Amundi MSCI Semiconductors and iShares EM Dividend.

Amundi MSCI Semiconductors iShares EM Dividend
1. Nvidia Corp
USA
27.13 %
1. Petróleo Brasileiro SA
Brazil
5.91 %
2. Broadcom Inc
USA
16.19 %
2. Vale SA ADR
Brazil
3.61 %
3. Taiwan Semiconductor Manufacturing Company
Taiwan
14.59 %
3. Evergreen Marine Corp
Taiwan
3.39 %
4. ASML Holding NV
Netherlands
5.51 %
4. Industrial and Commercial Bank of China Ltd Class H
China
3.31 %
5. Texas Instruments Inc
USA
3.4 %
5. China Construction Bank Corp Class H
China
3.17 %
6. Qualcomm Inc
USA
3.36 %
6. Bank Rakyat ADR
Indonesia
3 %
7. Advanced Micro Devices Inc
USA
3.14 %
7. Orlen SA
Poland
2.51 %
8. Applied Materials Inc
USA
2.44 %
8. Bank Pekao SA
Poland
2.25 %
9. Analog Devices Inc
USA
2.17 %
9. Bank of China Ltd Class H
China
2.22 %
10. Micron Technology Inc
USA
1.99 %
10. Vedanta Ltd
India
2.08 %
11. Lam Research Corp
USA
1.95 %
11. Astra International Tbk
Indonesia
2.07 %
12. KLA Corp
USA
1.83 %
12. JBS SA
Brazil
1.98 %
13. Intel Corp
USA
1.69 %
13. Coal India Ltd
India
1.9 %
14. Marvell Technology Inc
USA
1.49 %
14. China Shenhua Energy Co Ltd Class H
China
1.87 %
15. SK Hynix Inc
South Korea
1.38 %
15. Malayan Banking Berhad
Malaysia
1.81 %
16. MediaTek Inc
Taiwan
1.33 %
16. BB Seguridade Participacoes SA
Brazil
1.77 %
17. Tokyo Electron Limited
Japan
1.26 %
17. China Petroleum & Chemical Corp Class H
China
1.7 %
18. NXP Semiconductors NV
Netherlands
1.05 %
18. Yankuang Energy Group Co Ltd Class H
China
1.42 %
19. Infineon Technologies AG
Germany
0.96 %
19. OPAP SA
Greece
1.41 %
20. Advantest Corp
Japan
0.76 %
20. Star Bulk Carriers
Greece
1.39 %
21. Microchip Technology Inc
USA
0.61 %
21. Indian Oil Corp Ltd
India
1.39 %
22. Monolithic Power Systems Inc
USA
0.57 %
22. Bancolombia SA ADR
Colombia
1.33 %
23. Renesas Electronics Corp
Japan
0.53 %
23. Komerční Banka AS
Czech Republic
1.33 %
24. ASM International NV
Netherlands
0.46 %
24. Banco del Bajio SA
Mexico
1.32 %
25. DISCO Corp
Japan
0.4 %
25. Novatek Microelectronics Corp
Taiwan
1.31 %
- 26. ČEZ AS
Czech Republic
1.3 %

The list of fund holdings was last updated on April 17, 2025.