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Indexes

Component Pool Non-Local Companies

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

Items 4401-4600 of total 6178
Component Country Allocation Index Weight
WUXI BIOLOGICS CAYMAN INC KYCNMVTGLE 0.01%
MARKETAXESS HOLDINGS INC USUSMVTGLE 0.01%
SK TELECOM CO LTD KRKRMVTGLE 0.01%
RANDSTAD NV NLNLMVTGLE 0.01%
CROCS USUSMVTGLE 0.01%
TURKIYE PETROL RAFINERILERI AS TRTRMVTGLE 0.01%
KLEPIERRE SA FRFRMVTGLE 0.01%
HUNTINGTON INGALLS INDUSTRIES USUSMVTGLE 0.01%
INSPUR ELECTRONIC INFORMAT-A CNCNMVTGLE 0.01%
DAVITA INC USUSMVTGLE 0.01%
MARKS AND SPENCER GROUP PLC GBGBMVTGLE 0.01%
SAMSUNG ELTO.MECHANICS KRKRMVTGLE 0.01%
ENCOMPASS HEALTH CORP USUSMVTGLE 0.01%
SARTORIUS STEDIM BIOTECH SA FRFRMVTGLE 0.01%
CENTRAL PATTANA PUB CO LTD THTHMVTGLE 0.01%
GODREJ CONSUMER PRODUCTS LTD ORD ININMVTGLE 0.01%
VIETNAM TECHNOLOGICAL & COMMERCIAL JOINT STOCK BANK VNVNMVTGLE 0.01%
C H ROBINSON WORLDWIDE INC USUSMVTGLE 0.01%
KONGSBERG GRUPPEN ASA NONOMVTGLE 0.01%
SURGUTNEFTEGAS-PFD RURUMVTGLE 0.01%
AKBANK TAS TRTRMVTGLE 0.01%
OLD REPUBLIC INTL CORP USUSMVTGLE 0.01%
AUCKLAND INTL AIRPORT LTD NZNZMVTGLE 0.01%
TENAGA NASIONAL BHD MYMYMVTGLE 0.01%
BIM BIRLESIK MAGAZALAR AS TRTRMVTGLE 0.01%
WEX INC USUSMVTGLE 0.01%
HANKYU HANSHIN HOLDINGS INC JPJPMVTGLE 0.01%
JAPAN AIRLINES CO LTD JPJPMVTGLE 0.01%
DAVIDE CAMPARI-MILANO NV NLITMVTGLE 0.01%
COCA-COLA HBC AG-DI CHITMVTGLE 0.01%
FRANKLIN RESOURCES INC USUSMVTGLE 0.01%
CAPCOM CO LTD JPJPMVTGLE 0.01%
POSTAL SAVINGS BANK OF CHINA CO LTD CNCNMVTGLE 0.01%
SMITHS GROUP PLC GBGBMVTGLE 0.01%
DUBAI ELECTRICITY & WATER AU AEAEMVTGLE 0.01%
SK INC KRKRMVTGLE 0.01%
JERONIMO MARTINS SGPS SA PTPTMVTGLE 0.01%
REGAL REXNORD CORP USUSMVTGLE 0.01%
CUBESMART USUSMVTGLE 0.01%
APA CORP USUSMVTGLE 0.01%
SWATCH GROUP AG CHCHMVTGLE 0.01%
EQUITABLE HOLDINGS INC USUSMVTGLE 0.01%
ARKEMA SA FRFRMVTGLE 0.01%
HUAXIA BANK CO LTD CNCNMVTGLE 0.01%
SAIA INC USUSMVTGLE 0.01%
SUZLON ENERGY LTD ININMVTGLE 0.01%
TD SYNNEX CORP USUSMVTGLE 0.01%
POWER CONSTRUCTION CORP OF CHI CNCNMVTGLE 0.01%
ALDAR PROPERTIES COMPANY AEAEMVTGLE 0.01%
ENDESA SA ESESMVTGLE 0.01%
HERO MOTOCORP LTD ININMVTGLE 0.01%
ALTAGAS LTD CACAMVTGLE 0.01%
CEZ AS CZCZMVTGLE 0.01%
AP MOLLER MAERSK A/S ORD A DKDKMVTGLE 0.01%
RAMSAY HEALTH CARE LTD ORD AUAUMVTGLE 0.01%
WEIR GROUP PLC GBGBMVTGLE 0.01%
KEISEI ELECTRIC RAILWAY CO LTD ORD JPJPMVTGLE 0.01%
PTT EXPLORATION AND PRODUCTION PCL THTHMVTGLE 0.01%
U-HAUL HOLDING CO NON-VOTING USUSMVTGLE 0.01%
UNITY SOFTWARE INC USUSMVTGLE 0.01%
NATIONAL BANK OF GREECE SA GRGRMVTGLE 0.01%
INGREDION INC USUSMVTGLE 0.01%
SHANDONG HUALU HENGSHENG-A CNCNMVTGLE 0.01%
AGNC INVESTMENT CORP USUSMVTGLE 0.01%
API GROUP CORP USUSMVTGLE 0.01%
KBR INC USUSMVTGLE 0.01%
GEORG FISCHER AG CHCHMVTGLE 0.01%
MATADOR RESOURCES CO USUSMVTGLE 0.01%
ADVANTECH CO LTD ORD TWTWMVTGLE 0.01%
WESCO INTERNATIONAL INC USUSMVTGLE 0.01%
SKECHERS U.S.A. INC USUSMVTGLE 0.01%
REECE LTD AUAUMVTGLE 0.01%
T&D HOLDINGS INC ORD JPJPMVTGLE 0.01%
HOWDEN JOINERY GROUP PLC GBGBMVTGLE 0.01%
ITT INC USUSMVTGLE 0.01%
WUS PRINTED CIRCUIT KUNSHAN CO LTD CNCNMVTGLE 0.01%
BARRY CALLEBAUT AG CHCHMVTGLE 0.01%
EIFFAGE SA FRFRMVTGLE 0.01%
BANK POLSKA KASA OPIEKI SA PLPLMVTGLE 0.01%
POSTE ITALIANE SPA ITITMVTGLE 0.01%
WEATHERFORD INTERNATIONAL PLC IEUSMVTGLE 0.01%
BRITANNIA INDUSTRIES LTD ININMVTGLE 0.01%
ADVANCED INFO SERVICE PCL THTHMVTGLE 0.01%
INDIAN HOTELS CO LTD ININMVTGLE 0.01%
KT CORP KRKRMVTGLE 0.01%
BWX TECHNOLOGIES INC USUSMVTGLE 0.01%
TIANQI LITHIUM CORP-A CNCNMVTGLE 0.01%
XPENG INC - CLASS A SHARES KYCNMVTGLE 0.01%
SAHARA INTERNATIONAL PETROCHEMICAL CO SASAMVTGLE 0.01%
ELASTIC NV NLUSMVTGLE 0.01%
CHINA NORTHERN RARE EARTH GROUP HIGH TECH CO LTD CLASS A CNCNMVTGLE 0.01%
TAL EDUCATION GROUP KYCNMVTGLE 0.01%
TOKYU CORP JPJPMVTGLE 0.01%
MOSAIC CO/THE USUSMVTGLE 0.01%
COHERENT CORP USUSMVTGLE 0.01%
WEBSTER FINANCIAL CORP USUSMVTGLE 0.01%
SEI INVESTMENTS USUSMVTGLE 0.01%
SHENZHEN TRANSSION HOLDING-A CNCNMVTGLE 0.01%
LI NING CO LTD KYCNMVTGLE 0.01%
MELROSE INDUSTRIES PLC GBGBMVTGLE 0.01%
CAPLAND ASCENDAS REIT SGSGMVTGLE 0.01%
DAQIN RAILWAY CO LTD CNCNMVTGLE 0.01%
CHURCHILL DOWNS INC USUSMVTGLE 0.01%
ERIE INDEMNITY CO USUSMVTGLE 0.01%
SWISS PRIME SITE AG CHCHMVTGLE 0.01%
BANCO DE CHILE CLCLMVTGLE 0.01%
FORTUM OYJ FIFIMVTGLE 0.01%
UNIVERSAL HEALTH SVS.B USUSMVTGLE 0.01%
SHISEIDO CO LTD JPJPMVTGLE 0.01%
REA GROUP LTD AUAUMVTGLE 0.01%
MAZDA MOTOR CORP ORD JPJPMVTGLE 0.01%
BAYERISCHE MOTOREN WERKE BMW PFD DEDEMVTGLE 0.01%
BANK OF THE PHILIPPINE ISLANDS PHPHMVTGLE 0.01%
HF SINCLAIR CORP USUSMVTGLE 0.01%
CELANESE CORP USUSMVTGLE 0.01%
BANK OF NANJING CO LTD CNCNMVTGLE 0.01%
JEFFERIES FINANCIAL GROUP INC USUSMVTGLE 0.01%
HENRY SCHEIN INC USUSMVTGLE 0.01%
SKANSKA AB CLASS B SESEMVTGLE 0.01%
ZHEJIANG SANHUA INTELLIGEN-A CNCNMVTGLE 0.01%
PROCORE TECHNOLOGIES INC USUSMVTGLE 0.01%
E INK HLDGS (PRIME VIEW INTL) ORD TWTWMVTGLE 0.01%
ANTERO RESOURCES CORP USUSMVTGLE 0.01%
WHITBREAD PLC GBGBMVTGLE 0.01%
F5 INC USUSMVTGLE 0.01%
CITIC LTD HKHKMVTGLE 0.01%
SOFI TECHNOLOGIES INC USUSMVTGLE 0.01%
GF SECURITIES CO LTD CNCNMVTGLE 0.01%
AIB GROUP PLC IEIEMVTGLE 0.01%
CACI INTERNATIONAL INC -CL A USUSMVTGLE 0.01%
ABU DHABI ISLAMIC BANK PJSC AEAEMVTGLE 0.01%
ORIENT SECURITIES CO LTD/CHINA CNCNMVTGLE 0.01%
SANDS CHINA LTD KYMOMVTGLE 0.01%
DONALDSON CO INC USUSMVTGLE 0.01%
SIG COMBIBLOC GROUP AG CHCHMVTGLE 0.01%
SOUTHWESTERN ENERGY CO USUSMVTGLE 0.01%
SIEMENS INDIA LTD ININMVTGLE 0.01%
FULL TRUCK ALLIANCE -SPN ADR KYCNMVTGLE 0.01%
PERFORMANCE FOOD GROUP CO USUSMVTGLE 0.01%
PINNACLE WEST CAPITAL CORP USUSMVTGLE 0.01%
SUMITOMO FORESTRY CO LTD JPJPMVTGLE 0.01%
INDIAN OIL CORP LTD ININMVTGLE 0.01%
TORO CO USUSMVTGLE 0.01%
ABN AMRO BANK NV NLNLMVTGLE 0.01%
EVE ENERGY CO LTD-A CNCNMVTGLE 0.01%
CSPC PHARMACEUTICAL GROUP LTD HKHKMVTGLE 0.01%
TOKYO GAS CO LTD JPJPMVTGLE 0.01%
STIFEL FINANCIAL CORP USUSMVTGLE 0.01%
APTARGROUP INC USUSMVTGLE 0.01%
FLOOR & DECOR HOLDINGS INC-A USUSMVTGLE 0.01%
RAIA DROGASIL SA BRBRMVTGLE 0.01%
PAYCOM SOFTWARE INC USUSMVTGLE 0.01%
SODEXO SA FRFRMVTGLE 0.01%
UDR INC USUSMVTGLE 0.01%
WILMAR INTERNATIONAL LTD SGSGMVTGLE 0.01%
BDO UNIBANK INC PHPHMVTGLE 0.01%
RIVIAN AUTOMOTIVE INC USUSMVTGLE 0.01%
OBIC CO LTD ORD JPJPMVTGLE 0.01%
CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD. ININMVTGLE 0.01%
TMX GROUP INC COM CACAMVTGLE 0.01%
KINSALE CAPITAL GROUP INC USUSMVTGLE 0.01%
GLOBANT SA LUUSMVTGLE 0.01%
EAGLE MATERIALS INC USUSMVTGLE 0.01%
GENTEX CORP USUSMVTGLE 0.01%
TORAY INDUSTRIES INC ORD JPJPMVTGLE 0.01%
SCENTRE GROUP AUAUMVTGLE 0.01%
REXEL SA FRFRMVTGLE 0.01%
MONTAGE TECHNOLOGY CO LTD-A CNCNMVTGLE 0.01%
ZOOMLION HEAVY INDUSTRY SCIENCE AND TECHNOLOGY CO LTD CNCNMVTGLE 0.01%
ON HOLDING AG-CLASS A CHCHMVTGLE 0.01%
NIPPON SANSO HOLDINGS CORP JPJPMVTGLE 0.01%
REPLIGEN CORP USUSMVTGLE 0.01%
UNUM GROUP USUSMVTGLE 0.01%
MAGNIT PJSC RURUMVTGLE 0.01%
J&T EXPRESS-W ORD KYCNMVTGLE 0.01%
HEALTHPEAK PROPERTIES INC USUSMVTGLE 0.01%
YASKAWA ELECTRIC CORP ORD JPJPMVTGLE 0.01%
GRAB HOLDINGS LTD - CL A KYSGMVTGLE 0.01%
CAPITALAND INTEGRATED COMMERCIAL TRUST SGSGMVTGLE 0.01%
CRODA INTERNATIONAL PLC GBGBMVTGLE 0.01%
TAPESTRY INC USUSMVTGLE 0.01%
ASTRA INTERNATIONAL TBK PT IDIDMVTGLE 0.01%
ELF BEAUTY INC USUSMVTGLE 0.01%
LG ELECTRONICS INC KRKRMVTGLE 0.01%
BURLINGTON STORES INC USUSMVTGLE 0.01%
GENERAC HOLDINGS INC USUSMVTGLE 0.01%
ANHUI CONCH CEMENT CO LTD CNCNMVTGLE 0.01%
CHINA RAILWAY CONSTRUCTION COR CNCNMVTGLE 0.01%
DR REDDYS LABORATORIES LTD ORD ININMVTGLE 0.01%
UNITED STATES STEEL CORP USUSMVTGLE 0.01%
ONTO INNOVATION INC USUSMVTGLE 0.01%
NIBE INDUSTRIER AB SESEMVTGLE 0.01%
MURPHY USA INC USUSMVTGLE 0.01%
TOROMONT INDUSTRIES LTD COM CACAMVTGLE 0.01%
AKER BP ASA NONOMVTGLE 0.01%
ELM CO SASAMVTGLE 0.01%
CAMDEN PROPERTY TRUST USUSMVTGLE 0.01%
GRAPHIC PACKAGING HOLDING CO USUSMVTGLE 0.01%
FORTUNE BRANDS INNOVATIONS INC USUSMVTGLE 0.01%
TRYG AS DKDKMVTGLE 0.01%
Items 4401-4600 of total 6178
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