TRWFX
Transamerica International Equity
TRANSAMERICA FUNDS

Portfolio concentration

As of April 30, 2026 · N-PORT
Holdings
107
Top-10 weight
22.07%
Effective holdings ?
79
Crowding ?
413.7

Holdings

As of April 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ASML Holding NV 79,900 $115.50M 2.74%
2 SAMSUNG ELECTRONICS CO LTD 735,119 $110.70M 2.62%
3 SOC GENERALE SA 1,250,500 $100.67M 2.39%
4 SUMITOMO MITSUI FINL GROUP INC 2,631,700 $92.92M 2.20%
5 HITACHI LTD 2,859,800 $90.94M 2.15%
6 VEOLIA ENVIRONNE 2,111,123 $89.28M 2.12%
7 ROCHE HOLDING AG 210,861 $85.93M 2.04%
8 LLOYDS BANKING 62,449,354 $84.89M 2.01%
9 ORIX CORP 2,356,200 $79.30M 1.88%
10 SIEMENS AG-REG 249,595 $74.17M 1.76%
11 DNB BANK ASA 2,443,700 $74.00M 1.75%
12 SONY GROUP CORP 3,498,400 $70.09M 1.66%
13 AIB GROUP PLC 5,953,521 $68.62M 1.63%
14 DBS GROUP HLDGS 1,486,020 $68.52M 1.62%
15 NESTLE SA (REG) 640,364 $64.83M 1.54%
16 INFINEON TECH 949,327 $63.85M 1.51%
17 PANASONIC HOLDIN 3,060,800 $62.61M 1.48%
18 CK HUTCHISON HOLDINGS LTD COMMON STOCK HKD1.0 CKHUF 7,237,100 $60.43M 1.43%
19 KBC GROUP 419,400 $55.82M 1.32%
20 AKER BP ASA 1,390,699 $54.37M 1.29%
21 SAP SE 319,147 $53.58M 1.27%
22 ING GROEP NV 1,843,700 $53.36M 1.26%
23 GLENCORE PLC 6,631,000 $51.54M 1.22%
24 BP PLC 6,510,300 $51.53M 1.22%
25 SKANDINAVISK ENSKILDA BANKEN AB SEBA 2,568,600 $50.84M 1.20%
26 SANTOS LTD 8,720,500 $50.24M 1.19%
27 SBI HOLDINGS INC 2,457,000 $49.58M 1.17%
28 SHELL PLC 1,069,500 $48.63M 1.15%
29 DCC PLC 645,071 $48.62M 1.15%
30 DEUTSCHE BOERSE 154,782 $47.49M 1.13%
31 FANUC CORP 1,074,900 $47.48M 1.12%
32 RENESAS ELECTRON 2,228,500 $45.07M 1.07%
33 TOTALENERGIES SE 483,900 $44.99M 1.07%
34 Sanofi SA 479,301 $44.85M 1.06%
35 TESCO PLC 6,643,632 $43.58M 1.03%
36 CAPGEMINI SE 354,652 $43.13M 1.02%
37 ACCOR SA 865,700 $42.84M 1.02%
38 MACQUARIE GROUP 249,300 $42.83M 1.01%
39 FUJITSU LTD 2,130,900 $42.77M 1.01%
40 ANHEUSER-BUSCH INBEV SA/NV 556,400 $42.04M 1.00%
41 AERCAP HOLDINGS NV AER US 293,749 $41.77M 0.99%
42 SEVEN I HOLDINGS COMPANY 3382 3,432,000 $41.02M 0.97%
43 Novartis AG (Registered) NVSEF 276,515 $40.87M 0.97%
44 MERCK Kommanditgesellschaft auf Aktien MRK 314,100 $40.67M 0.96%
45 AMUNDI SA 413,900 $40.01M 0.95%
46 HEIDELBERG MATERIALS AG COMMON STOCK HEI 180,842 $39.90M 0.95%
47 ALLIANZ SE (REGD) 86,302 $39.42M 0.93%
48 JULIUS BAER GROU 476,554 $39.17M 0.93%
49 CIE FINANCI-REG 200,200 $38.42M 0.91%
50 GSK PLC 1,443,480 $37.84M 0.90%
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