MDOEX
Developing Opportunity Portfolio
MORGAN STANLEY INSTITUTIONAL FUND INC

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
34
Top-10 weight
54.85%
Effective holdings ?
23
Crowding ?
392.8

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 TSMC 77,000 $4.45M 8.68%
2 SK HYNIX INC 6,906 $3.92M 7.64%
3 SAMSUNG ELECTRONICS CO LTD 31,699 $3.71M 7.23%
4 MERCADOLIBRE INC 1,547 $2.67M 5.22%
5 NU HOLDINGS LTD/CAYMAN ISLANDS 172,827 $2.48M 4.84%
6 TRIP.COM GROUP LTD ADR 47,969 $2.39M 4.66%
7 COUPANG INC A 115,795 $2.19M 4.26%
8 BAIDU INC SPON ADR 19,514 $2.17M 4.24%
9 ICICI Bank Ltd 81,487 $2.11M 4.12%
10 MEITUAN-W 193,180 $2.11M 4.11%
11 MSILF-TR SEC-INS MSUXX 1,954,386 $1.95M 3.81%
12 ZOMATO LTD 769,791 $1.89M 3.69%
13 TATA CAPITAL LTD COMMON STOCK TATACAP 482,070 $1.57M 3.06%
14 KAKAOBANK CORP 89,348 $1.46M 2.84%
15 TITAN CO LTD 33,893 $1.42M 2.78%
16 TENCENT HOLDINGS LTD 21,800 $1.37M 2.68%
17 MEDIATEK 28,000 $1.34M 2.62%
18 KWEICHOW MOUTAI CO LTD A 6,289 $1.32M 2.58%
19 HDFC BANK LTD 153,230 $1.20M 2.34%
20 CHINA RESOURCES 165,400 $999.43K 1.95%
21 Pony AI Inc 2026 112,000 $993.54K 1.94%
22 Grab Holdings Ltd., Class A GRAB 265,555 $971.93K 1.90%
23 MAKEMYTRIP LTD MMYT 25,628 $955.67K 1.86%
24 PDD HOLDINGS INC ADR 9,112 $931.06K 1.82%
25 FULL TRUCK ALLIANCE CO LTD ADR 94,550 $784.76K 1.53%
26 KUAISHOU-W 120,500 $709.78K 1.38%
27 NAVER CORP 5,129 $698.31K 1.36%
28 WeRide Inc 247,700 $651.01K 1.27%
29 ALLEGRO.EU SA 74,436 $534.30K 1.04%
30 PONY AI INC DEPOSITARY RECEIPT PONY 40,786 $385.02K 0.75%
31 WERIDE INC-ADR DEPOSITARY RECEIPT WRD 46,191 $373.69K 0.73%
32 INDIAN HOTELS CO 48,918 $298.02K 0.58%
33 Niva Bupa Health Insurance Co. Ltd. NIVABUPA 281,711 $210.20K 0.41%
34 WEBTOON ENTERTAINMENT INC 19,236 $176.78K 0.34%

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