BREAX
BlackRock International Dividend Fund
BlackRock Funds

Portfolio concentration

As of August 30, 2024 · N-PORT
Holdings
40
Top-10 weight
38.34%
Effective holdings ?
34
Crowding ?
608.3

Holdings

As of August 30, 2024 · N-PORT
#SecurityTickerSharesValue% of fund
1 TSMC 1,724,000 $51.04M 5.70%
2 NOVO NORDISK-B 323,402 $44.92M 5.01%
3 ASTRAZENECA PLC 194,323 $34.06M 3.80%
4 ASSA ABLOY AB SER B 1,049,759 $33.92M 3.79%
5 L'Air Liquide, societe anonyme pour l'Etude et l'Exploitation des procedes Georges Claude AIQUF 168,247 $31.40M 3.51%
6 RELX PLC 663,530 $30.98M 3.46%
7 LVMH MOET HENNESSY LOUIS VUITTON SE MC 40,439 $30.10M 3.36%
8 ASML Holding NV 33,143 $29.89M 3.34%
9 BAKER HUGHES CO 833,250 $29.31M 3.27%
10 TEXAS INSTRUMENTS INC 128,889 $27.63M 3.08%
11 KEYENCE CORP 56,900 $27.34M 3.05%
12 FINECOBANK SPA 1,592,268 $27.32M 3.05%
13 VISA INC-CLASS A 90,347 $24.97M 2.79%
14 SHELL PLC 697,383 $24.85M 2.77%
15 Sanofi SA 216,563 $24.31M 2.71%
16 BEIERSDORF AG 164,569 $23.80M 2.66%
17 KPN (KONIN) NV 5,757,417 $23.51M 2.62%
18 DIAGEO PLC 707,414 $23.09M 2.58%
19 HDFC BANK LTD 1,152,702 $22.54M 2.52%
20 ATLAS COPCO-A 1,187,854 $21.61M 2.41%
21 CAN NATL RAILWAY 180,145 $21.23M 2.37%
22 NESTLE SA (REG) 197,763 $21.21M 2.37%
23 SAP SE 86,554 $18.99M 2.12%
24 MTU AERO ENGINES 63,396 $18.98M 2.12%
25 ADIDAS AG 71,826 $18.43M 2.06%
26 BAE SYSTEMS PLC 1,021,081 $18.36M 2.05%
27 SONY GROUP CORP 183,500 $17.87M 1.99%
28 SAINT GOBAIN 199,402 $17.42M 1.94%
29 OTIS WORLDWIDE CORP 179,247 $16.97M 1.89%
30 TELUS CORP 1,043,185 $16.85M 1.88%
31 BBVA 1,559,957 $16.57M 1.85%
32 BLKR-LIQ T-INS TSTXX 16,406,456 $16.41M 1.83%
33 UNITED OVERSEAS 653,354 $15.71M 1.75%
34 TAYLOR WIMPEY PL 7,012,886 $14.90M 1.66%
35 ZURICH INSURANCE 24,545 $14.25M 1.59%
36 Bank Rakyat Indonesia Persero Tbk PT 42,394,100 $14.12M 1.58%
37 B3 SA 5,591,108 $12.53M 1.40%
38 Smith & Nephew PLC 580,977 $8.95M 1.00%
39 TECK RESOURCES-B 171,977 $8.23M 0.92%
40 AceVector Limited 1,595,200 $717.80K 0.08%

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