SFGIX
Seafarer Overseas Growth and Income Fund
FINANCIAL INVESTORS TRUST

Portfolio concentration

As of April 30, 2026 · N-PORT
Holdings
54
Top-10 weight
36.25%
Effective holdings ?
40
Crowding ?
179.2

Holdings

As of April 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 HYUNDAI MOBIS 700,000 $202.45M 5.59%
2 SAMSUNG SDI CO 371,838 $176.11M 4.86%
3 ACCTON TECH 2,391,000 $175.11M 4.83%
4 SAMSUNG ELECTRONICS CO LTD 1,050,000 $158.12M 4.37%
5 RICHTER GEDEON N 2,875,000 $121.27M 3.35%
6 SHENZHEN MINDR-A 3,974,839 $98.36M 2.72%
7 SINGAPORE EXCH 5,605,400 $95.85M 2.65%
8 DELTA ELECTRONICS INC COMMON STOCK TWD10.0 2308 TT 1,330,000 $93.27M 2.57%
9 ITAU UNIBANCO HLDG SA SPON ADR 10,428,750 $90.73M 2.50%
10 Hongkong Land Holdings Ltd. ORD USD0.10(SINGAPORE REG) HKL 11,300,000 $89.34M 2.47%
11 ASMPT Ltd. HKD0.10 ASMVF 4,166,500 $87.28M 2.41%
12 Jardine Matheson Holdings Ltd. USD0.25(SINGAPORE REG) JM 1,250,155 $85.23M 2.35%
13 American Beverage Co Ambev ABEV 27,000,000 $78.84M 2.18%
14 SAMSUNG BIOLOGIC 77,852 $77.62M 2.14%
15 DBS GROUP HOLDINGS LTD COMMON STOCK DBS SP 1,625,000 $74.93M 2.07%
16 HD HYUNDAI MARIN 414,096 $74.87M 2.07%
17 ANHEUSER-BUSCH INBEV SPN ADR 980,000 $74.04M 2.04%
18 PACIFIC BASIN 182,000,000 $71.10M 1.96%
19 Credicorp Ltd 219,000 $70.99M 1.96%
20 NARI TECHNOLOG-A 18,499,612 $70.51M 1.95%
21 VENTURE CORP LTD 5,500,000 $70.20M 1.94%
22 XP Inc 3,599,000 $68.96M 1.90%
23 SAMSUNG ELE-PREF 600,000 $64.76M 1.79%
24 UPL LTD 9,450,000 $64.29M 1.78%
25 ADVANTECH 5,550,000 $63.47M 1.75%
26 GRUPO F BANORT-O 5,800,000 $63.21M 1.75%
27 DFI RETAIL GRP HLD-SING REG 0.00000000 DFI 14,249,000 $59.56M 1.64%
28 SANLAM LTD COMMON STOCK SLM 11,000,000 $56.65M 1.56%
29 COMPUTER AGE MAN 7,221,385 $56.55M 1.56%
30 MONETA MONEY BAN 6,400,000 $56.34M 1.56%
31 QATAR GAS TRANSP 47,313,950 $55.62M 1.54%
32 RAIADROGASIL 12,200,890 $53.86M 1.49%
33 VIETNAM DAIRY PRODUCTS JSC COMMON STOCK VNM 22,750,000 $52.72M 1.46%
34 WALMART DE MEXIC 16,372,000 $51.76M 1.43%
35 Hermes International SCA 26,570 $50.83M 1.40%
36 PETRONET LNG LTD 16,950,000 $49.59M 1.37%
37 L&T TECHNOLOGY S 1,284,500 $49.43M 1.36%
38 HAITIAN INTL 18,000,000 $48.84M 1.35%
39 NOVATEK 3,708,000 $48.16M 1.33%
40 CHINA FOODS LTD 98,314,000 $46.44M 1.28%
41 BANK CENTRAL ASI 133,000,000 $45.09M 1.24%
42 ADNOC GAS PLC 42,000,000 $38.53M 1.06%
43 NATIONAL CENTRAL COOLING CO PJSC 49,697,777 $36.75M 1.01%
44 MONDI PLC COMMON STOCK MNP 3,446,502 $35.61M 0.98%
45 PetroVietnam Gas JSC 11,500,000 $32.81M 0.91%
46 HDFC BANK LTD SPON ADR 1,148,000 $29.17M 0.81%
47 BANGKOK DUSIT-F 50,000,000 $28.08M 0.78%
48 BECLE SAB DE CV 33,980,000 $27.52M 0.76%
49 BABA-W 1,661,900 $27.39M 0.76%
50 XINHUA WINSHAR-H 20,541,000 $27.19M 0.75%
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