C000223506 Holdings — BlackRock Defensive Advantage Emerging Markets Fund

All 124 reported holdings of BlackRock Defensive Advantage Emerging Markets Fund (C000223506) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Taiwan Semiconductor Manufacturing Co Ltd1.65%$221.90K
Advantech Co Ltd1.64%$221.44K
Synnex Technology International Corp1.60%$215.10K
Ping An Insurance Group Co of China Ltd1.57%$211.13K
China Petroleum & Chemical Corp1.56%$210.23K
Kasikornbank PCL1.56%$210.13K
Bharti Airtel Ltd1.56%$210.06K
WPG Holdings Ltd1.55%$209.14K
Petroleo Brasileiro SA - Petrobras1.55%$208.67K
KT&G Corp1.52%$205.57K
Emirates Telecommunications Group Co PJSC1.52%$204.93K
Bank of China Ltd1.52%$204.84K
Saudi Arabian Oil Co1.50%$202.17K
Lenovo Group Ltd1.50%$201.84K
Doosan Bobcat Inc1.50%$201.84K
Tenaga Nasional Bhd1.47%$198.63K
Hon Hai Precision Industry Co Ltd1.47%$198.56K
Advanced Info Service PCL1.47%$197.64K
KB Financial Group Inc1.46%$196.97K
Jarir Marketing Co1.45%$195.17K
Accton Technology Corp1.44%$194.45K
Samsung Electronics Co Ltd1.43%$193.20K
International Container Terminal Services Inc1.43%$192.84K
Ooredoo QPSC1.42%$191.17K
Credicorp Ltd1.40%$189.24K
Chroma ATE Inc1.40%$188.48K
Al Rajhi Bank1.38%$185.75K
Nestle India Ltd1.37%$185.17K
Samsung Electro-Mechanics Co Ltd1.34%$181.10K
Bank of Ningbo Co Ltd1.34%$180.66K
Celltrion Inc1.33%$178.87K
SK hynix Inc1.31%$177.16K
Tata Consultancy Services Ltd1.31%$176.77K
United Microelectronics Corp1.30%$175.83K
Nanya Technology Corp1.27%$171.06K
ASE Technology Holding Co Ltd1.27%$170.64K
Sun Pharmaceutical Industries Ltd1.23%$165.41K
Etihad Etisalat Co1.22%$164.99K
Dubai Electricity & Water Authority PJSC1.21%$163.81K
Orlen SA1.21%$162.89K
MISC Bhd1.20%$161.89K
WNC Corp /Taiwan1.14%$154.15K
Hana Financial Group Inc1.12%$151.35K
Industrial & Commercial Bank of China Ltd1.11%$149.22K
Delta Electronics Inc1.09%$147.59K
Sunway Construction Group Bhd1.09%$146.37K
Asian Paints Ltd1.07%$143.85K
Tsingtao Brewery Co Ltd1.06%$142.69K
Kuwait Finance House KSCP1.01%$136.08K
Abu Dhabi National Oil Co for Distribution PJSC0.99%$133.34K
Tech Mahindra Ltd0.98%$132.24K
HCL Technologies Ltd0.98%$131.89K
Migros Ticaret AS0.97%$130.35K
Polycab India Ltd0.95%$128.11K
CPFL Energia SA0.93%$125.10K
China Resources Beer Holdings Co Ltd0.91%$122.20K
IOI Corp Bhd0.84%$113.21K
National Bank of Kuwait SAKP0.84%$113.02K
Ennoconn Corp0.83%$111.99K
China Yangtze Power Co Ltd0.82%$110.72K
PetroChina Co Ltd0.82%$110.62K
BeOne Medicines Ltd0.81%$108.77K
MediaTek Inc0.79%$106.53K
Saudi Basic Industries Corp0.77%$103.54K
Saudi Aramco Base Oil Co0.76%$102.66K
Qatar National Bank QPSC0.75%$100.97K
Granules India Ltd0.73%$98.19K
Lupin Ltd0.69%$92.76K
Marico Ltd0.68%$91.44K
Shinhan Financial Group Co Ltd0.67%$90.49K
SCG Packaging PCL0.66%$88.86K
China CITIC Bank Corp Ltd0.64%$86.77K
Telefonica Brasil SA0.64%$86.53K
NAURA Technology Group Co Ltd0.60%$81.22K
SK Telecom Co Ltd0.60%$80.41K
Zhongji Innolight Co Ltd0.59%$79.84K
Tripod Technology Corp0.58%$78.60K
BlackRock Funds III0.58%$77.74K
Saudi Energy Co0.57%$77.29K
Yageo Corp0.56%$75.26K
Sterlite Technologies Ltd0.56%$74.89K
Apollo Hospitals Enterprise Ltd0.55%$73.83K
Infosys Ltd0.55%$73.59K
Inner Mongolia Yili Industrial Group Co Ltd0.46%$61.75K
OTP Bank Nyrt0.45%$61.33K
Weichai Power Co Ltd0.45%$60.43K
GE Vernova T&D India Ltd0.40%$54.29K
Bank of Jiangsu Co Ltd0.38%$51.33K
Infosys Ltd0.33%$44.63K
LG Innotek Co Ltd0.30%$40.76K
Kiatnakin Phatra Bank PCL0.30%$40.41K
Advanced Micro-Fabrication Equipment Inc China0.28%$38.13K
Chaozhou Three-Circle Group Co Ltd0.28%$37.65K
Ping An Bank Co Ltd0.27%$35.82K
GS Holdings Corp0.24%$32.60K
Indian Oil Corp Ltd0.24%$31.88K
ICICI Bank Ltd0.21%$28.04K
Shanghai BOCHU Electronic Technology Corp Ltd0.19%$25.78K
Siemens Energy India Ltd0.18%$24.21K
Unimicron Technology Corp0.17%$23.46K
Raytron Technology Co Ltd0.17%$22.25K
Piotech Inc0.16%$21.92K
Hygon Information Technology Co Ltd0.16%$21.24K
Kweichow Moutai Co Ltd0.15%$20.00K
Laurus Labs Ltd0.14%$18.73K
HD Korea Shipbuilding & Offshore Engineering Co Ltd0.14%$18.59K
ICICI Bank Ltd0.13%$18.19K
Lx International Corp.0.13%$17.19K
WuXi AppTec Co Ltd0.11%$15.20K
BlackRock Liquidity Funds0.11%$14.86K
Coca-Cola Icecek AS0.10%$13.75K
China Resources Microelectronics Ltd0.09%$12.19K
Macronix International Co Ltd0.09%$12.01K
Contemporary Amperex Technology Co Ltd0.09%$11.72K
Hindustan Unilever Ltd0.08%$10.54K
Yantai Jereh Oilfield Services Group Co Ltd0.07%$9.97K
Oil & Natural Gas Corp Ltd0.06%$8.73K
Shengyi Technology Co Ltd0.06%$7.81K
Hengtong Optic-electric Co Ltd0.04%$5.61K
Power Grid Corp of India Ltd0.04%$5.05K
Yangtze Optical Fibre & Cable Joint Stock Ltd Co0.03%$3.99K
Montage Technology Co Ltd0.03%$3.70K
ICE Futures U.S., Inc.0.02%$2.20K
Alrosa PJSC0.00%$5

C000223506 overview: performance, fees, allocation and SEC filings