ZEMIX
American Beacon Ninety One Emerging Markets Equity Fund
AMERICAN BEACON FUNDS

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
79
Top-10 weight
44.31%
Effective holdings ?
25
Crowding ?
407.3

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 TSMC 675,000 $43.15M 14.19%
2 SAMSUNG ELECTRONICS CO LTD 172,284 $25.93M 8.53%
3 SK HYNIX INC 20,448 $15.08M 4.96%
4 TENCENT HOLDINGS LTD 193,100 $12.79M 4.20%
5 American Beacon U.S. Government Money Market Fund 9,212,656 $9.21M 3.03%
6 BABA-W 443,036 $8.09M 2.66%
7 GRUPO MEXICO-B 395,027 $5.01M 1.65%
8 DELTA ELEC 109,000 $4.99M 1.64%
9 ASELSAN 649,971 $4.76M 1.57%
10 RELIANCE INDUSTRIES LTD(DEMAT)DEMATERIALIZED SHS 300,359 $4.61M 1.51%
11 KIA CORP 29,874 $4.27M 1.40%
12 Receive CONTEMPORARY A-A Pay Overnight Rate -1 84,113 $4.20M 1.38%
13 HDFC BANK LTD 424,452 $4.14M 1.36%
14 ACCTON TECH 90,000 $4.04M 1.33%
15 LG CHEM LTD 13,319 $3.87M 1.27%
16 VALTERRA PLATINU 32,807 $3.84M 1.26%
17 MEDIATEK 61,000 $3.80M 1.25%
18 CCB-H 3,467,000 $3.54M 1.16%
19 SUNGROW POWER -A 161,784 $3.41M 1.12%
20 CREDICORP LTD BAP 9,651 $3.34M 1.10%
21 BEONE MEDICINE-H 135,100 $3.32M 1.09%
22 SAMSUNG C&T CORP 13,054 $3.18M 1.05%
23 WUXI APPTEC CO-A 222,419 $3.18M 1.05%
24 SHINHAN FINANCIA 47,100 $3.17M 1.04%
25 NASPERS NPV NPN 56,781 $3.16M 1.04%
26 ASE Technology Holding Company Ltd. ADR ASX 129,847 $3.15M 1.04%
27 ICICI Bank Ltd 101,657 $3.10M 1.02%
28 MTN GROUP LTD 233,758 $3.05M 1.00%
29 NETEASE INC 132,800 $3.04M 1.00%
30 ERSTE GROUP BANK 25,384 $3.02M 0.99%
31 VEDANTA LTD 382,541 $3.01M 0.99%
32 SAUDI NATIONAL B 267,806 $2.98M 0.98%
33 CAPITEC BANK HOLDINGS LTD COMMON STOCK CPI 9,891 $2.95M 0.97%
34 XP, Inc., Class A XPVVV 135,982 $2.93M 0.96%
35 BHARTI AIRTEL LIMITED 139,231 $2.88M 0.95%
36 KASIKORNBANK-FOR 434,000 $2.82M 0.93%
37 AIA Group Ltd 253,200 $2.81M 0.92%
38 NU HOLDINGS LTD/CAYMAN ISLANDS 171,001 $2.56M 0.84%
39 LARSEN and TOUBRO LTD 53,811 $2.53M 0.83%
40 SANLAM LTD COMMON STOCK SLM 378,570 $2.52M 0.83%
41 ANJI MICROELEC-A 64,184 $2.51M 0.83%
42 BCO BTG PAC-UNIT 206,083 $2.46M 0.81%
43 EMAAR PROP PJSC 555,170 $2.45M 0.81%
44 SABESP 81,051 $2.43M 0.80%
45 EICHER MOTORS LTD COMMON STOCK EIM 26,193 $2.31M 0.76%
46 RAIADROGASIL 463,082 $2.27M 0.74%
47 JL MAG RARE-EA-A 370,149 $2.22M 0.73%
48 NATL BANK GREECE 136,055 $2.22M 0.73%
49 SANY HEAVY IND-A 638,333 $2.16M 0.71%
50 HKEX 38,000 $2.04M 0.67%
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