REEAX
RBC Emerging Markets Equity Fund
RBC Funds Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
52
Top-10 weight
45.94%
Effective holdings ?
29
Crowding ?
391.0

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 TSMC 9,447,702 $546.40M 10.09%
2 SAMSUNG ELE-PREF 3,932,261 $317.43M 5.86%
3 SK HYNIX INC 547,435 $310.60M 5.73%
4 TENCENT HOLDINGS LTD 3,912,286 $246.76M 4.56%
5 ANTOFAGASTA PLC 5,182,908 $232.42M 4.29%
6 HDFC BANK LTD SPON ADR 8,288,600 $206.22M 3.81%
7 AIA Group Ltd 15,679,598 $174.22M 3.22%
8 DELTA ELEC 3,641,002 $164.17M 3.03%
9 B3 SA 43,174,283 $153.36M 2.83%
10 FOMENTO ECONO MEX(FEMSA)SP ADR 1,208,800 $134.25M 2.48%
11 MAHINDRA & MAHIN 4,225,832 $132.55M 2.45%
12 MEDIATEK 2,722,790 $130.60M 2.41%
13 BABA-W 8,145,017 $127.67M 2.36%
14 HKEX 2,419,989 $122.08M 2.25%
15 CREDICORP LTD BAP 342,920 $116.31M 2.15%
16 Receive CONTEMPORARY A-A Pay Overnight Rate -1 1,854,668 $109.73M 2.03%
17 DISCOVERY LTD COMMON STOCK DSY 7,324,293 $107.65M 1.99%
18 SHINHAN FINANCIA 1,719,509 $102.49M 1.89%
19 TATA CONSULTANCY VSS LTD TCS 3,906,423 $98.37M 1.82%
20 RAIADROGASIL 21,521,922 $97.31M 1.80%
21 PING AN-H 12,425,334 $95.54M 1.76%
22 Midea Group Company, Ltd. 333 8,251,674 $91.91M 1.70%
23 SAMSUNG FIRE & M 302,928 $90.74M 1.68%
24 NASPERS NPV NPN 1,599,533 $82.74M 1.53%
25 US GOVERNMENT MONEY MARKET FUND TUGXX 78,542,290 $78.54M 1.45%
26 NARI TECHNOLOG-A 20,207,581 $76.63M 1.41%
27 UNILEVER PLC 1,347,599 $73.98M 1.37%
28 YUM CHINA HOLDINGS INC - XHKG LISTING 1,321,450 $65.64M 1.21%
29 DR REDDY'S LABS 4,834,064 $64.79M 1.20%
30 NETEASE INC 2,879,543 $64.34M 1.19%
31 UNI-PRESIDENT EN 27,405,247 $61.22M 1.13%
32 BANK CENTRAL ASI 157,448,541 $60.82M 1.12%
33 ANGLOGOLD ASHANTI PLC 600,500 $58.46M 1.08%
34 KASIKORNBAN-NVDR KBANK-R 9,794,598 $57.14M 1.06%
35 ALDAR PROPERTIES 25,805,667 $55.78M 1.03%
36 SM Investments Corp 5,294,219 $54.16M 1.00%
37 BANCO DO BRASIL 12,044,600 $53.62M 0.99%
38 E.Sun Financial Holding Company, Ltd. 2884 52,424,812 $52.39M 0.97%
39 KOTAK MAHINDRA BANK LTD KMB 13,256,905 $49.90M 0.92%
40 CLICKS GROUP LTD COMMON STOCK CLS SJ 2,778,619 $47.86M 0.88%
41 ADVANTECH 4,387,714 $44.99M 0.83%
42 MARICO LTD 5,743,450 $44.83M 0.83%
43 WALMART DE MEXIC 13,602,300 $44.35M 0.82%
44 WEG SA 4,461,600 $43.86M 0.81%
45 YUM CHINA HOLDINGS INC - XHKG LISTING 865,562 $42.22M 0.78%
46 SHENZHEN MINDR-A 1,566,162 $37.71M 0.70%
47 MERCADOLIBRE INC 19,719 $34.09M 0.63%
48 SAMSUNG ELECTRONICS CO LTD 288,706 $33.77M 0.62%
49 MAKEMYTRIP LTD MMYT 705,400 $26.30M 0.49%
50 MEITUAN-W 2,396,966 $26.16M 0.48%
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