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Indexes

Component Pool Equity Indexes

This page provides the overall list of companies included in the MarketVectorTM Equity Indexes. 
The data published on this page is updated daily.

Items 4001-4500 of total 7140
Component Country Index Non-localWeight
FOCUS MEDIA INFORMATION TECHNOLOGY CO LTD CNMVTGLE Yes0.01%
PENTAIR PLC IEMVTGLE Yes0.01%
SEMICONDUCTOR MANUFACTURING INTERNATIONAL CORP KYMVTGLE Yes0.01%
GUOTAI JUNAN SECURITIES CO LTD CNMVTGLE Yes0.01%
TELKOM INDONESIA PERSERO TBK PT IDMVTGLE Yes0.01%
EVERGY INC USMVTGLE Yes0.01%
ALPHA DHABI HOLDING PJSC AEMVTGLE Yes0.01%
CHINA LIFE INSURANCE CO LTD CNMVTGLE Yes0.01%
SHOCKWAVE MEDICAL INC USMVTGLE Yes0.01%
TOKYO ELECTRIC POWER CO HOLDINGS INC JPMVTGLE Yes0.01%
BANCO BPM SPA ITMVTGLE Yes0.01%
POLY REAL ESTATE GROUP CO LTD CNMVTGLE Yes0.01%
NISOURCE INC USMVTGLE Yes0.01%
HYDRO ONE LTD CAMVTGLE Yes0.01%
KIKKOMAN CORP ORD JPMVTGLE
MVJPNQ
Yes
-
0.01%
0.27%
RPM INTERNATIONAL INC USMVTGLE Yes0.01%
IMPERIAL OIL LTD CAMVTGLE Yes0.01%
COVESTRO AG DEMVTGLE Yes0.01%
AVENUE SUPERMARTS LTD INMVTGLE Yes0.01%
LKQ CORP USMVTGLE Yes0.01%
QINGHAI SALT LAKE INDUSTRY-A CNMVTGLE Yes0.01%
SERES GROUP CO LTD CNMVTGLE Yes0.01%
YUM CHINA HOLDINGS INC USMVTGLE Yes0.01%
ADANI GREEN ENERGY LTD INMVTGLE
ETHOI
Yes
-
0.01%
0.58%
CHONGQING CHANGAN AUTOMOBILE CO LTD CNMVTGLE Yes0.01%
EVERGREEN MARINE TWMVTGLE Yes0.01%
ALLIANT ENERGY CORP USMVTGLE Yes0.01%
SMITH & NEPHEW PLC GBMVTGLE Yes0.01%
BUNZL PLC GBMVTGLE Yes0.01%
PAN PACIFIC INTERNATIONAL HOLD JPMVTGLE
MVJPNQ
Yes
-
0.01%
0.29%
H&M HENNES & MAURITZ AB CLASS B SEMVTGLE Yes0.01%
CP ALL PCL THMVTGLE Yes0.01%
FIRST FINANCIAL HOLDING ORD TWMVTGLE Yes0.01%
HINDALCO INDUSTRIES LTD INMVTGLE Yes0.01%
REINSURANCE GROUP OF AMERICA USMVTGLE Yes0.01%
EVEREST GROUP LTD BMMVTGLE Yes0.01%
OIL & NATURAL GAS CORP LTD INMVTGLE Yes0.01%
LAMB WESTON HOLDING INC USMVTGLE Yes0.01%
HAITONG SECURITIES CO LTD CNMVTGLE Yes0.01%
CHINA STEEL CORP TWMVTGLE
MVGNR
Yes
-
0.01%
0.40%
FOSHAN HAITIAN FLAVOURING -A CNMVTGLE Yes0.01%
MOLINA HEALTHCARE INC USMVTGLE Yes0.01%
PTT PUBLIC CO LTD THMVTGLE Yes0.01%
INTERNATIONAL PAPER CO USMVTGLE Yes0.01%
POWSZECHNA KASA OSZCZEDNOSCI BANK POLSKI SA PLMVTGLE Yes0.01%
WISTRON TWMVTGLE Yes0.01%
MALAYAN BANKING BHD MYMVTGLE Yes0.01%
RB GLOBAL INC CAMVTGLE Yes0.01%
BRENNTAG SE DEMVTGLE Yes0.01%
CHINA NATIONAL NUCLEAR POWER C CNMVTGLE Yes0.01%
SNAM SPA ITMVTGLE Yes0.01%
SM INVESTMENTS CORP PHMVTGLE Yes0.01%
KIRIN HOLDINGS (BREWERY) CO LTD ORD JPMVTGLE
MVJPNQ
Yes
-
0.01%
0.28%
VIATRIS INC USMVTGLE Yes0.01%
ZHANGZHOU PIENTZEHUANG PHA-A CNMVTGLE Yes0.01%
CORE & MAIN INC-CLASS A USMVTGLE Yes0.01%
ARC RESOURCES LTD CAMVTGLE Yes0.01%
HANG SENG BANK LTD ORD HKMVTGLE Yes0.01%
SCHINDLER HOLDING AG CHMVTGLE Yes0.01%
ALUMINUM CORP OF CHINA LTD CNMVTGLE Yes0.01%
CHINA TOURISM GROUP DUTY FREE CORP LTD CNMVTGLE Yes0.01%
BHARAT ELECTRONICS LTD INMVTGLE Yes0.01%
FIDELITY NATIONAL FINANCIAL INC USMVTGLE Yes0.01%
DR ING HC F PORSCHE AG DEMVTGLE Yes0.01%
ATMOS ENERGY CORP USMVTGLE Yes0.01%
SHIONOGI & CO LTD ORD JPMVTGLE
MVJPNQ
Yes
-
0.01%
0.28%
EPAM SYSTEMS INC USMVTGLE
MVAI
Yes
-
0.01%
1.68%
NRG ENERGY INC USMVTGLE Yes0.01%
CEMEX SAB DE CV MXMVTGLE Yes0.01%
JULIUS BAER GRUPPE AG CHMVTGLE Yes0.01%
SEAGATE TECHNOLOGY PLC IEMVTGLE Yes0.01%
JABIL INC USMVTGLE Yes0.01%
INTERCONTINENTAL HOTELS GROUP PLC GBMVTGLE Yes0.01%
CITIZENS FINANCIAL GROUP INC USMVTGLE Yes0.01%
BANGKOK DUSIT MED SERVICE THMVTGLE Yes0.01%
KEYCORP USMVTGLE Yes0.01%
DARDEN RESTAURANTS INC USMVTGLE Yes0.01%
LINK REIT HKMVTGLE Yes0.01%
NAN YA PLASTIC TWMVTGLE Yes0.01%
NIPPON YUSEN KK JPMVTGLE Yes0.01%
BANK OF IRELAND GROUP PLC IEMVTGLE Yes0.01%
EDENRED FRMVTGLE Yes0.01%
NONGFU SPRING CO LTD-H CNMVTGLE Yes0.01%
JAPAN EXCHANGE GROUP INC JPMVTGLE
MVJPNQ
Yes
-
0.01%
0.32%
VENTAS INC USMVTGLE Yes0.01%
BANCO DE SABADELL SA ESMVTGLE Yes0.01%
HUATAI SECURITIES CO LTD CNMVTGLE
ETHOI
Yes
-
0.02%
0.28%
ADANI ENTERPRISES LTD INMVTGLE Yes0.02%
WILL SEMICONDUCTOR LTD CNMVTGLE Yes0.02%
SUMITOMO MITSUI TRUST HOLDINGS ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.27%
MTU AERO ENGINES AG DEMVTGLE Yes0.02%
CHINA RESOURCES LAND LTD KYMVTGLE Yes0.02%
WP CAREY & CO LLC USMVTGLE
MVORT
Yes
-
0.02%
2.69%
NVENT ELECTRIC IEMVTGLE Yes0.02%
EQT CORP USMVTGLE Yes0.02%
RESONA HOLDINGS (DAIWA BANK) ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.28%
AKZO NOBEL NV NLMVTGLE Yes0.02%
BROOKFIELD INFRASTRUCTURE PARTNERS LP BMMVTGLE Yes0.02%
PUBLIC BANK BERHAD MYMVTGLE Yes0.02%
ROLLINS INC USMVTGLE Yes0.02%
SAUDI BRITISH BANK SJSC SAMVTGLE Yes0.02%
NESTLE INDIA LTD INMVTGLE Yes0.02%
GRACO USMVTGLE Yes0.02%
RIYAD BANK SJSC SAMVTGLE Yes0.02%
CONAGRA BRANDS INC USMVTGLE Yes0.02%
FUYAO GLASS INDUSTRY GROUP-A CNMVTGLE Yes0.02%
CENTERPOINT ENERGY INC USMVTGLE Yes0.02%
POOL CORP USMVTGLE Yes0.02%
NICE LTD ILMVTGLE Yes0.02%
NARI TECHNOLOGY CO LTD CNMVTGLE Yes0.02%
CHOCOLADEFABRIKEN LINDT & SPRUENGLI AG CHMVTGLE Yes0.02%
BOC HONG KONG HOLDINGS LTD ORD HKMVTGLE Yes0.02%
NEXT PLC GBMVTGLE Yes0.02%
BANK OF NINGBO CO LTD CNMVTGLE
ETHOI
Yes
-
0.02%
0.27%
FORMOSA PLASTICS CORP TWMVTGLE Yes0.02%
LOEWS CORP USMVTGLE Yes0.02%
TRANSUNION USMVTGLE Yes0.02%
MARATHON OIL CORP USMVTGLE Yes0.02%
EXOR NV NLMVTGLE Yes0.02%
FACTSET RESEARCH SYSTEMS INC USMVTGLE Yes0.02%
IFLYTEK CO LTD - A CNMVTGLE
ETHOI
Yes
-
0.02%
0.29%
METRO INC -A CAMVTGLE Yes0.02%
NOMURA HOLDINGS INC ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.28%
WATSCO INC USMVTGLE Yes0.02%
INDUSIND BANK LTD INMVTGLE Yes0.02%
RENTOKIL INITIAL PLC GBMVTGLE
ETHOI
Yes
-
0.02%
0.24%
AVANTOR INC USMVTGLE
MVBIOP
Yes
-
0.02%
2.45%
EMIRATES NBD PJSC AEMVTGLE Yes0.02%
NOVATEK MICROELECTRONICS CORP ORD TWMVTGLE Yes0.02%
SUMITOMO ELECTRIC INDUSTRIES LTD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.29%
NITORI HOLDINGS CO LTD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.30%
EMCOR GROUP INC USMVTGLE Yes0.02%
BANK OF BEIJING CO LTD CNMVTGLE Yes0.02%
INVESTOR AB ORD A SEMVTGLE Yes0.02%
SNAP-ON INC USMVTGLE Yes0.02%
S F HOLDING CO LTD-A CNMVTGLE Yes0.02%
ASTELLAS PHARMA INC JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.29%
EPIROC AB-A SEMVTGLE
ETHOI
Yes
-
0.02%
0.33%
SYMRISE AG DEMVTGLE Yes0.02%
ALFA LAVAL AB SEMVTGLE Yes0.02%
IDEX CORP USMVTGLE Yes0.02%
TCL TECHNOLOGY GROUP CORP CNMVTGLE Yes0.02%
SOMPO HOLDINGS INC JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.33%
TERNA SPA ITMVTGLE Yes0.02%
CRRC CORP LTD CNMVTGLE Yes0.02%
WATERS CORP USMVTGLE
MVBIOP
Yes
-
0.02%
2.47%
TDK CORP ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.30%
ZTE CORP-A CNMVTGLE Yes0.02%
SUBARU CORP JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.33%
MCCORMICK & CO-NON VTG SHRS USMVTGLE Yes0.02%
MASCO CORP USMVTGLE Yes0.02%
SHAANXI COAL INDUSTRY CO LTD CNMVTGLE Yes0.02%
GOLD FIELDS LIMITED ZAMVTGLE Yes0.02%
NN GROUP NV NLMVTGLE Yes0.02%
WEICHAI POWER CO LTD CNMVTGLE Yes0.02%
CARLSBERG AS CLASS B DKMVTGLE Yes0.02%
VAT GROUP AG CHMVTGLE
ETHOI
Yes
-
0.02%
0.41%
CMS ENERGY CORP USMVTGLE Yes0.02%
ARCELORMITTAL SA LUMVTGLE Yes0.02%
NORDSON CORP USMVTGLE Yes0.02%
NAURA TECHNOLOGY GROUP CO-A CNMVTGLE
ETHOI
Yes
-
0.02%
0.37%
BAJAJ FINSERV LIMITED INMVTGLE Yes0.02%
REGIONS FINANCIAL CORP USMVTGLE Yes0.02%
ASSOCIATED BRITISH FOODS PLC GBMVTGLE Yes0.02%
FIRSTENERGY USMVTGLE Yes0.02%
SEKISUI HOUSE LTD ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.33%
TRENT LTD INMVTGLE Yes0.02%
BEIGENE LTD KYMVTGLE Yes0.02%
INPEX CORP JPMVTGLE Yes0.02%
TATNEFT OAO RUMVTGLE Yes0.02%
PANDORA A/S DKMVTGLE Yes0.02%
CHINA MINSHENG BANKING CORP LT CNMVTGLE Yes0.02%
ALEXANDRIA REAL ESTATE EQUITIES INC USMVTGLE
IRET
Yes
-
0.02%
3.28%
OTP BANK PLC HUMVTGLE Yes0.02%
JAMES HARDIE INDUSTRIES PLC IEMVTGLE Yes0.02%
NEW ORIENTAL EDUCATION & TECHNOLOGY GROUP INC KYMVTGLE Yes0.02%
AGRICULTURAL BANK OF CHINA-H CNMVTGLE Yes0.02%
PACK.CORP.OF AM. USMVTGLE Yes0.02%
MONCLER SPA ITMVTGLE
ETHOI
Yes
-
0.02%
0.36%
QUEST DIAGNOSTICS INC USMVTGLE
MVBIOP
Yes
-
0.02%
2.69%
BROWN-FORMAN CORP-CLASS B USMVTGLE Yes0.02%
SHIMANO INC JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.33%
AMCOR PLC JEMVTGLE Yes0.02%
YUANTA FINANCIAL HLDG (FUHWA) ORD TWMVTGLE
ETHOI
Yes
-
0.02%
0.43%
LABORATORY CRP OF AMER HLDGS USMVTGLE
MVBIOP
Yes
-
0.02%
2.59%
FRESENIUS SE & CO KGAA DEMVTGLE Yes0.02%
COTERRA ENERGY INC USMVTGLE Yes0.02%
PURE STORAGE INC - CLASS A USMVTGLE Yes0.02%
KE HOLDINGS INC KYMVTGLE Yes0.02%
PING AN BANK CO LTD CNMVTGLE Yes0.02%
AMEREN CORP USMVTGLE Yes0.02%
CLOROX COMPANY USMVTGLE Yes0.02%
KELLANOVA USMVTGLE Yes0.02%
HOLOGIC INC USMVTGLE
MVBIOP
Yes
-
0.02%
2.70%
UNI-PRESIDENT ENTERPRISES CO TWMVTGLE Yes0.02%
JAPAN POST HOLDINGS CO LTD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.32%
KANSAI ELECTRIC POWER CO ORD JPMVTGLE Yes0.02%
CHINA CSSC HOLDINGS LTD-A CNMVTGLE Yes0.02%
TOURMALINE OIL CORP CAMVTGLE Yes0.02%
AJINOMOTO CO INC JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.36%
SGS SA CHMVTGLE Yes0.02%
ZEBRA TECHNOLOGIES CORP USMVTGLE Yes0.02%
OLYMPUS JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.50%
AVERY DENNISON CORP USMVTGLE Yes0.02%
WR BERKLEY CORP USMVTGLE Yes0.02%
PRINCIPAL FINANCIAL GROUP INC USMVTGLE Yes0.02%
RELIANCE STEEL & ALUMINUM USMVTGLE
MVGNR
Yes
-
0.02%
0.51%
DOMINOS PIZZA INC USMVTGLE Yes0.02%
ULTRATECH CEMENT LTD INMVTGLE Yes0.02%
ASAHI GROUP HLDGS (ASAHI BREW) ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.34%
SIEMENS ENERGY AG DEMVTGLE
BEURI
Yes
-
0.02%
3.69%
DNB BANK ASA NOMVTGLE Yes0.02%
HEIDELBERG MATERIALS AG DEMVTGLE
BEURI
Yes
-
0.02%
3.45%
CHOCOLADEFABRIKEN LINDT & SPRUENGLI AG - ORDINARY SHARE CHMVTGLE Yes0.02%
CHINA STATE CONSTRUCTION ENGIN CNMVTGLE Yes0.02%
CHINA PETROLEUM & CHEMICAL CORP CNMVTGLE Yes0.02%
UNICHARM CORP ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.36%
WSP GLOBAL INC CAMVTGLE Yes0.02%
NORTHERN TRUST CORP USMVTGLE Yes0.02%
BAJAJ AUTO LTD INMVTGLE Yes0.02%
CK HUTCHISON HOLDINGS LTD KYMVTGLE Yes0.02%
KAO CORP JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.34%
INFORMA PLC GBMVTGLE Yes0.02%
POWER CORP OF CANADA CAMVTGLE Yes0.02%
ESSITY AB CLASS B SEMVTGLE
SCOP3
Yes
-
0.02%
0.50%
CINCINNATI FINANCIAL CORP USMVTGLE Yes0.02%
BAXTER INTL. USMVTGLE Yes0.02%
PRYSMIAN SPA ITMVTGLE
BEURI
Yes
-
0.02%
3.58%
SVENSKA HANDELSBANKEN AB CLASS A SEMVTGLE Yes0.02%
E SUN FINANCIAL HOLDING CO ORD TWMVTGLE
ETHOI
Yes
-
0.02%
0.38%
JAPAN POST BANK CO LTD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.34%
ZOOM VIDEO COMMUNICATIONS INC USMVTGLE
ETHOI
MVAI
Yes
-
-
0.02%
0.27%
0.57%
LOGITECH INTERNATIONAL SA CHMVTGLE Yes0.02%
OMNICOM GROUP USMVTGLE Yes0.02%
SNAP INC USMVTGLE
MVMETV
Yes
-
0.02%
2.10%
EMAAR PROPERTIES PJSC AEMVTGLE Yes0.02%
AENA SME SA ESMVTGLE Yes0.02%
SANY HEAVY INDUSTRY CO LTD CNMVTGLE Yes0.02%
STERIS PLC IEMVTGLE Yes0.02%
GENMAB A/S DKMVTGLE Yes0.02%
BUILDERS FIRSTSOURCE INC USMVTGLE Yes0.02%
SANDOZ GROUP AG CHMVTGLE Yes0.02%
CHINA SHENHUA ENERGY CO-H CNMVTGLE Yes0.02%
SURGUTNEFTEGAS ORD RUMVTGLE Yes0.02%
HENKEL AG & CO KGAA PREF DEMVTGLE Yes0.02%
SHANGHAI PUDONG DEVEL BANK-A CNMVTGLE Yes0.02%
COMMERZBANK AG DEMVTGLE Yes0.02%
AVIVA PLC GBMVTGLE Yes0.02%
SUMITOMO REALTY & DEVELOPMNT ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.38%
DAIWA HOUSE INDUSTRY CO LTD ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.38%
UCB SA BEMVTGLE Yes0.02%
YANDEX NV CLASS A NLMVTGLE Yes0.02%
WARNER BROS DISCOVERY INC USMVTGLE
ETHOI
Yes
-
0.02%
0.22%
EVERSOURCE ENERGY USMVTGLE Yes0.02%
SHANXI XINGHUACUN FEN WINE FACTORY CO LTD CNMVTGLE Yes0.02%
TITAN INDUSTRIES LTD INMVTGLE Yes0.02%
SHINHAN FINANCIAL GROUP CO LTD KRMVTGLE Yes0.02%
CHINA MERCHANTS BANK-H CNMVTGLE Yes0.02%
COOPER COMPANIES INC USMVTGLE Yes0.02%
SUNGROW POWER SUPPLY CO LT-A CNMVTGLE Yes0.02%
IMPERIAL BRANDS PLC GBMVTGLE Yes0.02%
DECKERS OUTDOOR CORP USMVTGLE Yes0.02%
BALL CORP USMVTGLE Yes0.02%
CLP HOLDINGS LTD HKMVTGLE Yes0.02%
TATA STEEL LTD INMVTGLE Yes0.02%
HANNOVER RUCK SE DEMVTGLE Yes0.02%
TOYOTA TSUSHO CORP ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.41%
WENS FOODSTUFFS GROUP CO - A CNMVTGLE Yes0.02%
WUXI APPTEC CO LTD-A CNMVTGLE Yes0.02%
RESTAURANT BRANDS INTERNATIONAL INC CAMVTGLE Yes0.02%
COCA-COLA EUROPACIFIC PARTNERS PLC GBMVTGLE Yes0.02%
BEIERSDORF AG DEMVTGLE Yes0.02%
CBOE GLOBAL MARKETS INC USMVTGLE Yes0.02%
AERCAP HOLDINGS NV NLMVTGLE Yes0.02%
BEIJING-SHANGHAI HIGH SPE-A CNMVTGLE Yes0.02%
ASIAN PAINTS LTD INMVTGLE Yes0.02%
NIPPON STEEL CORP JPMVTGLE
MVJPNQ
MVGNR
Yes
-
-
0.02%
0.40%
0.58%
LM ERICSSON TELEFON AB CLASS B SEMVTGLE Yes0.02%
CATHAY FINANCIAL HOLDING CO LTD ORD TWMVTGLE Yes0.02%
FOXCONN INDUSTRIAL INTERNE-A CNMVTGLE Yes0.02%
MEGA FINANCIAL HOLDING CO LTD ORD TWMVTGLE Yes0.02%
CARLISLE COS INC USMVTGLE Yes0.02%
SUZUKI MOTOR CORP ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.41%
HUNTINGTON BANCSHARES INC/OH USMVTGLE Yes0.02%
RYANAIR HOLDINGS PLC IEMVTGLE Yes0.02%
SOCIETE GENERALE SA CLASS A FRMVTGLE Yes0.02%
SIEMENS HEALTHINEERS AG DEMVTGLE Yes0.02%
LONGI GREEN ENERGY TECHNOL-A CNMVTGLE Yes0.02%
HUBBELL INC -CL B USMVTGLE Yes0.02%
TOYOTA INDUSTRIES CORP ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.39%
TECHTRONIC INDUSTRIES CO LTD ORD HKMVTGLE Yes0.02%
BROWN & BROWN INC USMVTGLE Yes0.02%
PPL CORP USMVTGLE Yes0.02%
MUYUAN FOODSTUFF CO LTD-A CNMVTGLE Yes0.02%
BANK OF COMMUNICATIONS CO-A CNMVTGLE Yes0.02%
ASE TECHNOLOGY HOLDING CO LTD TWMVTGLE Yes0.02%
ANTA SPORTS PRODUCTS LTD KYMVTGLE Yes0.02%
ZHONGJI INNOLIGHT CO LTD-A CNMVTGLE Yes0.02%
EMIRATES TELECOMMUNICATIONS CORP AEMVTGLE Yes0.02%
RAYMOND JAMES FINL. USMVTGLE Yes0.02%
AEON CO LTD ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.38%
ALIGN TECHNOLOGY INC USMVTGLE Yes0.02%
ENTERGY CORP USMVTGLE Yes0.02%
DTE ENERGY CO USMVTGLE Yes0.02%
ORIX CORP ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.41%
LEGAL & GENERAL GROUP PLC ORD GBMVTGLE Yes0.02%
GENUINE PARTS CO USMVTGLE Yes0.02%
WEYERHAEUSER CO USMVTGLE
IRET
MVGNR
Yes
-
-
0.02%
3.05%
0.72%
FERROVIAL SE NLMVTGLE
BEURI
Yes
-
0.02%
4.09%
LPL FINANCIAL HOLDINGS INC USMVTGLE Yes0.02%
WILLIS TOWERS WATSON PLC IEMVTGLE Yes0.02%
FORTIS INC CAMVTGLE Yes0.02%
TYLER TECHNOLOGIES INC USMVTGLE Yes0.02%
POWER GRID CORP OF INDIA LTD INMVTGLE Yes0.02%
SHENZHEN INOVANCE TECHNOLOGY CO LTD CNMVTGLE Yes0.02%
BANK OF JIANGSU CO LTD-A CNMVTGLE Yes0.02%
CHINA PACIFIC INSURANCE GROUP CO LTD CLASS A CNMVTGLE Yes0.02%
STATE STREET CORP USMVTGLE Yes0.02%
CREDIT AGRICOLE SA FRMVTGLE Yes0.02%
STEEL DYNAMICS INC USMVTGLE
MVGNR
Yes
-
0.02%
0.64%
EQUIFAX INC USMVTGLE Yes0.02%
NASDAQ INC USMVTGLE Yes0.02%
SAUDI ARABIAN MINING COMPANY SJSC SAMVTGLE Yes0.02%
PETROCHINA CO LTD-H CNMVTGLE Yes0.02%
WESTERN DIGITAL CORP USMVTGLE Yes0.02%
NIDEC CORP ORD JPMVTGLE
MVJPNQ
Yes
-
0.02%
0.45%
LOBLAW COMPANIES LTD. CAMVTGLE Yes0.02%
CGI INC - CLASS A CAMVTGLE
ETHOI
Yes
-
0.02%
0.33%
ERSTE GROUP BANK AG ATMVTGLE Yes0.02%
QATAR NATIONAL BANK SAQ QAMVTGLE Yes0.02%
FORTIVE CORP USMVTGLE Yes0.02%
ARGENX SE NLMVTGLE Yes0.02%
MARUBENI CORP ORD JPMVTGLE Yes0.02%
STANDARD CHARTERED PLC GBMVTGLE Yes0.02%
LI AUTO INC-CLASS A KYMVTGLE Yes0.03%
TEVA PHARMACEUTICAL IND LTD ILMVTGLE Yes0.03%
COLOPLAST AS CLASS B DKMVTGLE Yes0.03%
SUN HUNG KAI PROPERTIES HKMVTGLE Yes0.03%
EDISON INTERNATIONAL USMVTGLE Yes0.03%
SWEDBANK AB CLASS A SEMVTGLE Yes0.03%
CHUNGHWA TELECOM CO LTD ORD TWMVTGLE Yes0.03%
FAIRFAX FINANCIAL HOLDINGS LIMITED CAMVTGLE Yes0.03%
REPSOL SA ESMVTGLE
MVGNR
Yes
-
0.03%
0.21%
VODAFONE GROUP PLC GBMVTGLE Yes0.03%
DAI-ICHI LIFE HOLDINGS INC JPMVTGLE
MVJPNQ
Yes
-
0.03%
0.45%
KB FINANCIAL GROUP INC KRMVTGLE Yes0.03%
EXTRA SPACE STORAGE INC USMVTGLE Yes0.03%
LUXSHARE PRECISION INDUSTRY CO CNMVTGLE Yes0.03%
T ROWE PRICE GROUP INC USMVTGLE Yes0.03%
DOVER CORP USMVTGLE Yes0.03%
SAUDI TELECOM CO SAMVTGLE Yes0.03%
JAPAN TOBACCO JPMVTGLE Yes0.03%
TERUMO CORP JPMVTGLE
MVJPNQ
Yes
-
0.03%
0.45%
CBRE GROUP INC USMVTGLE Yes0.03%
DRAFTKINGS INC USMVTGLE Yes0.03%
FRANCO-NEVADA CORP CAMVTGLE
MVGNR
Yes
-
0.03%
0.71%
DANSKE BANK A/S DKMVTGLE Yes0.03%
WHEATON PRECIOUS METALS CORP CAMVTGLE
MVGNR
Yes
-
0.03%
0.72%
MITSUBISHI ESTATE CO LTD ORD JPMVTGLE
MVJPNQ
Yes
-
0.03%
0.47%
MERCK KGAA DEMVTGLE Yes0.03%
UNITED MICROELECTRONICS ORD TWMVTGLE Yes0.03%
AMERICAN WATER WORKS CO INC USMVTGLE
ETHOI
Yes
-
0.03%
0.32%
OTSUKA HOLDINGS CO LTD ORD JPMVTGLE
MVJPNQ
Yes
-
0.03%
0.46%
WEC ENERGY GROUP INC USMVTGLE Yes0.03%
LUZHOU LAOJIAO CO LTD-A CNMVTGLE Yes0.03%
HAIER SMART HOME CO LTD CNMVTGLE Yes0.03%
LYONDELLBASELL INDU-CL A NLMVTGLE Yes0.03%
CHURCH & DWIGHT CO INC USMVTGLE Yes0.03%
HARTFORD FINANCIAL SERVICES GROUP INC USMVTGLE Yes0.03%
MARKEL GROUP INC USMVTGLE Yes0.03%
VONOVIA SE DEMVTGLE
ETHOI
Yes
-
0.03%
0.42%
ALINMA BANK SJSC SAMVTGLE Yes0.03%
SAMPO OYJ CLASS A FIMVTGLE Yes0.03%
FIRST CITIZENS BANCSHARES INC/NC USMVTGLE Yes0.03%
SKANDINAVISKA ENSKILDA BANKEN AB CLASS A SEMVTGLE Yes0.03%
GRUPO CARSO SAB DE CV-SER A1 MXMVTGLE Yes0.03%
EAST MONEY INFORMATION CO-A CNMVTGLE Yes0.03%
SAUDI BASIC INDUSTRIES CORPORATION SJSC SAMVTGLE Yes0.03%
SWISS LIFE HOLDING AG CHMVTGLE Yes0.03%
EAST JAPAN RAILWAY CO JPMVTGLE
MVJPNQ
Yes
-
0.03%
0.47%
FIFTH THIRD BANCORP USMVTGLE Yes0.03%
ATLASSIAN CORPORATION PLC USMVTGLE
MVAI
Yes
-
0.03%
0.99%
DOLLARAMA INC CAMVTGLE Yes0.03%
NOKIA OYJ FIMVTGLE Yes0.03%
CAIXABANK SA ESMVTGLE Yes0.03%
MARUTI SUZUKI INDIA LTD INMVTGLE Yes0.03%
WAL-MART DE MEXICO SAB DE CV MXMVTGLE Yes0.03%
FUBON FINL.HLDG. TWMVTGLE Yes0.03%
CENTRAL JAPAN RAILWAY CO JPMVTGLE
MVJPNQ
Yes
-
0.03%
0.49%
SUN PHARMACEUTICAL INDUS INMVTGLE Yes0.03%
BOE TECHNOLOGY GROUP CO LTD CNMVTGLE Yes0.03%
TELUS CORPORATION CAMVTGLE Yes0.03%
GEBERIT AG CHMVTGLE Yes0.03%
NTPC LTD INMVTGLE Yes0.03%
GAZPROM OAO RUMVTGLE Yes0.03%
KONE OYJ CLASS B FIMVTGLE Yes0.03%
LEGRAND SA FRMVTGLE
BEURI
Yes
-
0.03%
5.08%
HP INC USMVTGLE Yes0.03%
ORANGE SA FRMVTGLE Yes0.03%
DELTA ELECTRONICS INC TWMVTGLE Yes0.03%
WANHUA CHEMICAL GROUP CO -A CNMVTGLE Yes0.03%
ATLAS COPCO AB SEMVTGLE Yes0.03%
NATWEST GROUP PLC GBMVTGLE Yes0.03%
CHUGAI PHARMACEUTICAL CO LTD ORD JPMVTGLE
ETHOI
MVJPNQ
Yes
-
-
0.03%
0.35%
0.55%
CENOVUS ENERGY INC CAMVTGLE
MVGNR
Yes
-
0.03%
0.24%
VISTRA CORP USMVTGLE Yes0.03%
PING AN INSURANCE GROUP CO-H CNMVTGLE Yes0.03%
SSE PLC GBMVTGLE Yes0.03%
KOMATSU LTD JPMVTGLE Yes0.03%
MITSUI FUDOSAN CO LTD ORD JPMVTGLE
MVJPNQ
Yes
-
0.03%
0.53%
KONINKLIJKE PHILIPS NV NLMVTGLE Yes0.03%
NATIONAL BANK OF KUWAIT KWMVTGLE Yes0.03%
MS&AD INS (MITSUI SUMITOMO) ORD JPMVTGLE
MVJPNQ
Yes
-
0.03%
0.54%
TATA MOTORS LTD ORD INMVTGLE Yes0.03%
GE HEALTHCARE TECHNOLOGIES INC USMVTGLE Yes0.03%
HANGZHOU HIKVISION DIGITAL TEC CNMVTGLE Yes0.03%
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP USMVTGLE Yes0.03%
WEST PHARMACEUTICAL SERVICES INC USMVTGLE
MVBIOP
Yes
-
0.03%
4.02%
CTBC FINANCIAL HOLDING CO LTD TWMVTGLE Yes0.03%
METTLER-TOLEDO INTL USMVTGLE
MVBIOP
Yes
-
0.03%
3.95%
KBC GROUPE SA BEMVTGLE Yes0.03%
RWE AG DEMVTGLE Yes0.03%
TESCO PLC GBMVTGLE
SCOP3
Yes
-
0.03%
0.83%
XCEL ENERGY INC USMVTGLE Yes0.03%
ARCH CAPITAL GROUP LTD BMMVTGLE Yes0.03%
INNER MONGOLIA YILI INDUSTRIAL GROUP CO LTD CLASS A CNMVTGLE Yes0.03%
BAJAJ FINANCE LTD INMVTGLE
ETHOI
Yes
-
0.03%
0.30%
SUMITOMO JPMVTGLE Yes0.03%
PRUDENTIAL PLC GBMVTGLE Yes0.03%
CDW CORP/DE USMVTGLE Yes0.03%
CONSOLIDATED EDISON INC USMVTGLE Yes0.03%
POSCO HOLDINGS INC KRMVTGLE Yes0.03%
SANDVIK AB SEMVTGLE Yes0.03%
KRAFT HEINZ CO/THE USMVTGLE Yes0.03%
KERING SA FRMVTGLE
ETHOI
Yes
-
0.03%
0.23%
KEURIG DR PEPPER INC USMVTGLE Yes0.03%
VULCAN MATERIALS CO USMVTGLE Yes0.03%
FIRST ABU DHABI BANK PJSC AEMVTGLE Yes0.03%
EQT AB SEMVTGLE Yes0.03%
FUJIFILM HOLDINGS CORP ORD JPMVTGLE
MVJPNQ
Yes
-
0.03%
0.58%
INGERSOLL-RAND INC USMVTGLE Yes0.03%
PPG INDUSTRIES INC USMVTGLE Yes0.03%
HERSHEY CO/THE USMVTGLE Yes0.03%
FOMENTO ECONOMICO MEXICA - UBD MXMVTGLE Yes0.03%
NOVATEK PJSC RUMVTGLE Yes0.03%
QUANTA COMPUTER TWMVTGLE Yes0.03%
UNIVERSAL MUSIC GROUP NV NLMVTGLE Yes0.03%
MAHINDRA & MAHINDRA LTD INMVTGLE Yes0.03%
DEVON ENERGY CORPORATION USMVTGLE
MVGNR
Yes
-
0.03%
0.27%
FAIR ISAAC CORP USMVTGLE Yes0.04%
DIAMONDBACK ENERGY INC USMVTGLE
MVGNR
Yes
-
0.04%
0.27%
KUWAIT FINANCE HOUSE KSC KWMVTGLE Yes0.04%
CITIC SECURITIES CO LTD CNMVTGLE Yes0.04%
JIANGSU HENGRUI MEDICINE CO LTD CLASS A CNMVTGLE
ETHOI
Yes
-
0.04%
0.38%
HINDUSTAN UNILEVER LTD INMVTGLE
ETHOI
Yes
-
0.04%
0.30%
HOWMET AEROSPACE INC USMVTGLE Yes0.04%
SHENZHEN MINDARY BIO-MEDICAL ELECTRONICS CO LTD CNMVTGLE
ETHOI
Yes
-
0.04%
0.38%
DAIMLER TRUCK HOLDING AG DEMVTGLE Yes0.04%
CANON INC JPMVTGLE
MVJPNQ
Yes
-
0.04%
0.60%
SEVEN & I HOLDINGS CO LTD ORD JPMVTGLE Yes0.04%
GREE ELECTRIC APPLIANCES I-A CNMVTGLE Yes0.04%
AMADEUS IT GROUP SA CLASS A ESMVTGLE Yes0.04%
HALEON PLC GBMVTGLE Yes0.04%
PUBLICIS GROUPE SA FRMVTGLE Yes0.04%
ESTEE LAUDER COMPANIES INC USMVTGLE Yes0.04%
RESMED INC USMVTGLE
ETHOI
Yes
-
0.04%
0.46%
OLD DOMINION FREIGHT LINE INC USMVTGLE
ETHOI
Yes
-
0.04%
0.28%
THOMSON REUTERS CORP CAMVTGLE Yes0.04%
HEINEKEN NV NLMVTGLE Yes0.04%
DUPONT DE NEMOURS INC USMVTGLE Yes0.04%
YUM! BRANDS USMVTGLE Yes0.04%
HOYA CORP ORD JPMVTGLE
MVJPNQ
Yes
-
0.04%
0.67%
SMC CORP ORD JPMVTGLE
ETHOI
MVJPNQ
Yes
-
-
0.04%
0.36%
0.63%
KENVUE INC USMVTGLE Yes0.04%
TELEFONICA SA ESMVTGLE Yes0.04%
GENERAL MILLS INC USMVTGLE Yes0.04%
GARTNER INC USMVTGLE Yes0.04%
NATIONAL BANK OF CANADA CAMVTGLE
ETHOI
Yes
-
0.04%
0.41%
EXELON CORP USMVTGLE Yes0.04%
STMICROELECTRONICS NV NLMVTGLE Yes0.04%
COGNIZANT TECHNOLOGY SOLUTIONS CORP USMVTGLE Yes0.04%
KOTAK MAHINDRA BANK LIMITED INMVTGLE Yes0.04%
MURATA MANUFACTURING LTD ORD JPMVTGLE
MVJPNQ
Yes
-
0.04%
0.64%
VERTIV HOLDINGS CO USMVTGLE Yes0.04%
INTACT FINANCIAL CORP. CAMVTGLE Yes0.04%
SAMSUNG ELTN.PF. KRMVTGLE Yes0.04%
PUBLIC STORAGE USMVTGLE
IRET
Yes
-
0.04%
3.26%
ASHTEAD GROUP PLC GBMVTGLE Yes0.04%
HUMANA INC USMVTGLE Yes0.04%
CENTENE CORP USMVTGLE Yes0.04%
EQUINOR ASA NOMVTGLE Yes0.04%
CARRIER GLOBAL CORP USMVTGLE Yes0.04%
GRUPO FINANCIERO BANORTE SAB DE CV MXMVTGLE Yes0.04%
ROYAL AHOLD DELHAIZE NV NLMVTGLE
SCOP3
Yes
-
0.04%
0.94%
CHINA PETROLEUM & CHEMICAL CORP CNMVTGLE Yes0.04%
MSCI INC USMVTGLE Yes0.04%
PETROBRAS ORD BRMVTGLE Yes0.04%
CHINA SHENHUA ENERGY CO LTD CNMVTGLE Yes0.04%
AMERICA MOVIL SAB DE CV MXMVTGLE Yes0.04%
INTERNATIONAL CO FOR WATER & SAMVTGLE Yes0.04%
Items 4001-4500 of total 7140
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