Net position changes between two of this fund's N-PORT
snapshots. These are differences between point-in-time reports — not a
trade log — and share counts can be affected by splits and other corporate
actions.
Dec 31, 2025 → Mar 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
KOTAK MAHINDRA BANK LTD
0
1,030,240
1,030,240
0.85%
$3.94M
Receive CONTEMPORARY A-A Pay Overnight Rate -1
0
63,600
63,600
0.81%
$3.73M
GRUPO MEXICO-B
0
321,063
321,063
0.74%
$3.44M
Didi Global Inc SPONSORED ADS
0
726,379
726,379
0.65%
$2.99M
BAOSHAN IRON &-A
0
3,145,000
3,145,000
0.63%
$2.93M
GLOBANT SA
0
57,115
57,115
0.57%
$2.63M
AVENUE SUPERMART
0
58,203
58,203
0.53%
$2.45M
BIDU-SW
0
175,543
175,543
0.53%
$2.44M
TORRENT PHARMA
0
54,918
54,918
0.53%
$2.44M
MCX INDIA LTD
0
81,406
81,406
0.46%
$2.13M
LG CORP
0
37,880
37,880
0.45%
$2.07M
QATAR GAS TRANSP
0
1,514,997
1,514,997
0.38%
$1.75M
PKOBP
0
62,183
62,183
0.32%
$1.47M
Suzano SA
0
126,872
126,872
0.27%
$1.27M
FUYAO GLASS-A
0
94,800
94,800
0.17%
$786.11K
MAHINDRA & MAHIN
0
22,366
22,366
0.16%
$722.70K
SASOL LTD
0
46,265
46,265
0.13%
$616.66K
ADNOC DRILLING C
0
397,471
397,471
0.12%
$557.55K
RELIANCE INDUSTRIES LTD(DEMAT)DEMATERIALIZED SHS
0
36,207
36,207
0.11%
$524.66K
MAX FINANCIAL SE
0
30,070
30,070
0.10%
$474.90K
Invesco Government & Agency Portfolio, Institutional Class
0
387,207
387,207
0.08%
$387.21K
VNET Group Incorporation DEPOSITARY RECEIPT
0
42,900
42,900
0.08%
$359.93K
BlackRock Liquidity FedFund - Institutional Class
0
300,000
300,000
0.06%
$300.00K
MSILF-GOVT-INS
0
300,000
300,000
0.06%
$300.00K
CEMEX SAB-SP ADR
0
25,693
25,693
0.06%
$293.93K
MONEYMKT
0
200,000
200,000
0.04%
$200.00K
State Street Navigator Securities Lending Portfolio II
0
200,000
200,000
0.04%
$200.00K
MONEYMKT
0
100,000
100,000
0.02%
$100.00K
Short-Term Investment
0
100,000
100,000
0.02%
$100.00K
SASOL LTD-SP ADR
0
6,500
6,500
0.02%
$84.24K
US GOVERNMENT MONEY MARKET FUND
0
17,449
17,449
0.00%
$17.45K
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
Kotak Mahindra Bank Ltd
406,482
0
-406,482
0.00%
-$9.96M
FULL TRUCK ALLIANCE CO LTD ADR
466,960
0
-466,960
0.00%
-$5.01M
MARUTI SUZUKI IN
23,079
0
-23,079
0.00%
-$4.29M
TVS MOTOR CO LTD
95,167
0
-95,167
0.00%
-$3.94M
Receive AKBANK Pay Overnight Rate -3
986,566
0
-986,566
0.00%
-$1.61M
AERO DEL PACIF-B
57,781
0
-57,781
0.00%
-$1.52M
GODREJ CONSUMER PRODUCTS LTD COMMON STOCK
108,827
0
-108,827
0.00%
-$1.48M
NIEN MADE
117,000
0
-117,000
0.00%
-$1.34M
VESTA SAB DE CV
357,040
0
-357,040
0.00%
-$1.09M
VARUN BEVERAGES
195,571
0
-195,571
0.00%
-$1.07M
TSINGTAO BREW-H
134,000
0
-134,000
0.00%
-$837.45K
HDFC BANK LTD
74,293
0
-74,293
0.00%
-$820.94K
SUMBER ALFARIA T
4,140,004
0
-4,140,004
0.00%
-$490.27K
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
MEDIATEK
250,042
252,731
2,689
2.64%
$907.71K
CAPITAL GROUP CENTRAL CASH FUND
158,871
256,851
97,980
2.55%
-$4.09M
PICC P&C-H
2,936,000
3,950,000
1,014,000
1.57%
$1.12M
PETROLEO BRASILEIRO SPONS ADR
78,542
308,803
230,261
1.38%
$5.48M
VALTERRA PLATINU
63,586
66,090
2,504
1.23%
$298.47K
CHINA RES LAND
1,000,500
1,497,500
497,000
1.21%
$2.12M
BHARTI AIRTEL LIMITED
183,795
274,323
90,528
1.13%
$904.01K
REDE D'OR SAO LU
483,221
629,775
146,554
1.02%
$1.16M
CAPITEC BANK HOLDINGS LTD COMMON STOCK
17,812
18,606
794
0.99%
$95.06K
H World Group Ltd. SPONSORED ADS
68,478
81,537
13,059
0.89%
$878.61K
HANWHA AEROSPACE
2,997
4,110
1,113
0.72%
$1.40M
SAMSUNG FIRE & M
10,160
10,546
386
0.66%
-$444.36K
UNITED SPIRITS
184,345
185,443
1,098
0.52%
-$567.79K
BDO UNIBANK INC
1,053,660
1,250,400
196,740
0.51%
-$64.66K
GOLD FIELDS LTD
22,691
48,442
25,751
0.49%
$1.26M
SHRIRAM FINANCE
168,378
212,597
44,219
0.43%
$109.61K
CONCH CEMENT-H
595,629
719,129
123,500
0.42%
$268.83K
MULTIPLAN
281,806
301,219
19,413
0.40%
$453.01K
PUBLIC BANK BHD
1,422,900
1,488,000
65,100
0.37%
$138.17K
PROLOGIS MEXICO
238,149
314,220
76,071
0.30%
$374.51K
SAMSUNG LIFE INS
7,923
9,307
1,384
0.28%
$444.08K
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
TSMC
1,295,239
1,174,239
-121,000
14.30%
$2.92M
TENCENT HOLDINGS LTD
348,565
343,665
-4,900
4.69%
-$5.01M
SAMSUNG ELECTRONICS CO LTD
194,964
168,042
-26,922
4.08%
$2.63M
SK HYNIX INC
35,990
32,981
-3,009
3.88%
$1.64M
BABA-W
591,303
479,303
-112,000
1.63%
-$3.28M
BCO BTG PAC-UNIT
739,084
670,243
-68,841
1.57%
$230.44K
HANA FINANCIAL G
112,863
102,351
-10,512
1.57%
-$110.71K
INTL CONTAINER TERM SVCS INC COMMON STOCK
678,389
615,209
-63,180
1.52%
$550.65K
NETEASE INC
433,900
307,653
-126,247
1.48%
-$5.10M
ABU DHABI ISLAMI
1,169,617
1,060,676
-108,941
1.30%
-$611.78K
SHENZHEN INOVA-A
653,803
592,803
-61,000
1.25%
-$1.23M
AIA Group Ltd
558,600
506,600
-52,000
1.23%
-$46.59K
BEONE MEDICINES LTD ADR
20,537
18,624
-1,913
1.20%
-$708.58K
AXIS BK LTD
450,790
408,803
-41,987
1.12%
-$1.19M
KT CORP-SP ADR DEPOSITARY RECEIPT
266,538
241,712
-24,826
1.12%
$128.50K
RUMO SA
1,799,132
1,631,558
-167,574
1.11%
$312.43K
INNOVENT BIOLOGI
472,900
428,400
-44,500
1.02%
$91.50K
BBB Foods, Inc., Class A
129,398
129,267
-131
0.99%
$251.57K
AIRTAC INTERNATI
177,904
135,851
-42,053
0.93%
-$963.74K
COUPANG INC A
249,075
225,875
-23,200
0.92%
-$1.61M
ADNOC GAS PLC
5,191,369
4,766,831
-424,538
0.90%
-$848.14K
PDD HOLDINGS INC ADR
43,756
39,681
-4,075
0.88%
-$906.89K
JIANGSU HENGRU-A
544,370
493,670
-50,700
0.86%
-$655.36K
MAX HEALTHCARE I
401,652
364,242
-37,410
0.82%
-$885.47K
GRUPO F BANORT-O
532,254
339,994
-192,260
0.81%
-$1.16M
MERCADOLIBRE INC
2,645
2,085
-560
0.78%
-$1.72M
CHOLAMANDALAM IN
366,173
236,553
-129,620
0.74%
-$3.50M
BNK FINANCIAL GR
369,504
289,797
-79,707
0.74%
-$659.98K
EMBASSY OFFICE P
844,365
765,719
-78,646
0.74%
-$689.57K
ASIA COMMERCIAL JOINT STOCK BANK
3,610,606
3,357,906
-252,700
0.65%
-$267.74K
JIANGSU HENGLI-A
235,703
213,803
-21,900
0.65%
-$682.90K
MTN GROUP LTD
319,557
246,231
-73,326
0.62%
-$408.38K
EMAAR PROP PJSC
937,408
850,095
-87,313
0.59%
-$841.70K
NEWAY VALVE SU-A
560,100
375,600
-184,500
0.57%
-$1.50M
NOVA LJUBLJANSKA BANK GDR
56,381
51,130
-5,251
0.55%
$140.85K
KASIKORNBANK-FOR
453,200
411,000
-42,200
0.53%
-$366.88K
BANK CENTRAL ASI
10,068,609
6,295,390
-3,773,219
0.52%
-$2.45M
NetEase Inc. SPON ADS EACH REP 25 ORD SH
22,514
20,417
-2,097
0.49%
-$812.90K
TIM SA
518,641
407,916
-110,725
0.47%
$133.13K
LITE-ON TECH
524,456
475,456
-49,000
0.46%
-$563.31K
Midea Group Company, Ltd.
210,288
190,688
-19,600
0.46%
-$232.59K
CHINA MERCHANTS BANK-H COMMON STOCK
653,000
332,500
-320,500
0.46%
-$2.31M
ICICI BANK LTD
277,850
160,565
-117,285
0.45%
-$2.06M
LENSKART SOLUTIONS LTD 144A (3 MONTH LOCKUP)
423,946
384,458
-39,488
0.44%
-$71.91K
HALYK SAVINGS BANK OF KAZAKHSTAN OJSC GDR 144A
71,788
65,101
-6,687
0.44%
-$108.89K
America Movil S.A.B. de C.V. SPON ADS RP CL B
87,520
79,368
-8,152
0.44%
$213.26K
AL RAJHI BANK
248,808
68,597
-180,211
0.42%
-$4.51M
ABU DHABI COMMER
629,065
570,473
-58,592
0.42%
-$508.40K
NATL BANK GREECE
135,382
122,772
-12,610
0.41%
-$159.23K
BSE LTD
71,893
65,197
-6,696
0.40%
-$239.36K
MOTIVA INFRAESTR
1,367,209
597,450
-769,759
0.39%
-$1.92M
GENFLEET THERAPEUTICS SHANGHAI INC CL H
562,400
426,600
-135,800
0.39%
$97.04K
VIBRA ENERGIA SA COMMON STOCK
310,522
281,599
-28,923
0.37%
$258.71K
MEITUAN-W
170,800
154,900
-15,900
0.36%
-$570.45K
NU HOLDINGS LTD/CAYMAN ISLANDS
129,092
117,068
-12,024
0.36%
-$478.73K
360 ONE WAM LTD
210,243
154,662
-55,581
0.34%
-$1.21M
ZOMATO LTD
1,771,193
621,129
-1,150,064
0.34%
-$3.94M
SIAM CEMENT -FOR
262,800
238,300
-24,500
0.33%
$21.74K
GENPACT LTD
41,021
37,200
-3,821
0.30%
-$533.26K
DISCOVERY LTD COMMON STOCK
101,097
91,681
-9,416
0.29%
-$42.55K
DUALITY BIOTHERA
36,300
32,900
-3,400
0.27%
-$112.04K
IVANHOE MINES LTD
163,139
147,944
-15,195
0.27%
-$590.87K
CHONGQING BREW-A
162,183
147,083
-15,100
0.26%
$3.66K
TUBE INVESTMENTS
46,873
42,507
-4,366
0.25%
-$193.11K
ICBC-H
1,200,000
1,088,000
-112,000
0.21%
-$6.84K
KT Corporation
23,999
21,764
-2,235
0.20%
$23.15K
COCA COLA FEMSA S A B SPON ADR REP L
10,199
9,249
-950
0.19%
-$63.71K
FSN E-COMMERCE V
381,766
346,207
-35,559
0.19%
-$258.44K
NAVER CORP
6,263
5,679
-584
0.16%
-$292.25K
VALE SA
51,404
46,616
-4,788
0.16%
$70.17K
CENTRAL DEPOSITO
64,120
58,148
-5,972
0.16%
-$307.61K
PICC GROUP-H
1,088,000
987,000
-101,000
0.15%
-$253.69K
INDOSAT TBK PT
26,168,300
5,099,200
-21,069,100
0.14%
-$3.01M
TRIP.COM GROUP LTD ADR
13,395
12,148
-1,247
0.13%
-$358.39K
KANZHUN LTD CL A ADR
322,050
40,574
-281,476
0.12%
-$6.02M
TELKOM INDONESIA
2,530,700
2,295,000
-235,700
0.09%
-$108.27K
KB FINANCIAL GRO
11,420
4,447
-6,973
0.09%
-$571.20K
MAKEMYTRIP LTD
67,791
11,155
-56,636
0.09%
-$5.15M
JIANGSU HENGRU-H
25,600
23,200
-2,400
0.04%
-$42.32K
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
TVS MOTOR - PFD
581,568
581,568
0
0.01%
-$1.98K
BARING VOSTOK (PE FUND IV SUPP) PP PE FUND PP (NOT LISTED OR TRADING)
43,189,451
43,189,451
0
0.00%
$0
BARING VOSTOK (PE FUND IV) PP PE FUND PP (NOT LISTED OR TRADING)
23,604,516
23,604,516
0
0.00%
$0
SEDIBELO PLATINUM MINES LTD (CAD) (NOT LISTED OR TRADING)