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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 4601-4800 of total 6178
Component Country Allocation Index Weight
PEGATRON CORP ORD TWTWMVTGLE 0.01%
LAMAR ADVERTISING CO-A USUSMVTGLE 0.01%
XPO INC USUSMVTGLE 0.01%
JUNIPER NETWORKS INC USUSMVTGLE 0.01%
ABU DHABI COMMERCIAL BANK PJSC AEAEMVTGLE 0.01%
PERMIAN RESOURCES CORP USUSMVTGLE 0.01%
UNIBAIL-RODAMCO-WESTFIELD FRFRMVTGLE 0.01%
AGEAS SA NV BEBEMVTGLE 0.01%
GRUPO BIMBO SAB- SERIES A MXMXMVTGLE 0.01%
MITSUBISHI HC CAPITAL INC JPJPMVTGLE 0.01%
CHEMED CORP USUSMVTGLE 0.01%
INSULET CORP USUSMVTGLE 0.01%
INDUSTRIES QATAR QSC QAQAMVTGLE 0.01%
STORA ENSO OYJ CLASS R FIFIMVTGLE 0.01%
WOODWARD INC USUSMVTGLE 0.01%
LY CORP JPJPMVTGLE 0.01%
SKF AB CLASS B SESEMVTGLE 0.01%
UNIMICRON TECHNOLOGY CORP TWTWMVTGLE 0.01%
GIGADEVICE SEMICONDUCTOR B-A CNCNMVTGLE 0.01%
SINGAPORE AIRLINES LTD ORD SGSGMVTGLE 0.01%
ASIA VITAL COMPONENTS CO LTD TWTWMVTGLE 0.01%
INCYTE CORP USUSMVTGLE 0.01%
SONIC HEALTHCARE (TECH AUST) ORD AUAUMVTGLE 0.01%
ASR NEDERLAND NV NLNLMVTGLE 0.01%
DLF LTD ININMVTGLE 0.01%
BORGWARNER INC USUSMVTGLE 0.01%
CHINA TELECOM CORP LTD CNCNMVTGLE 0.01%
ACCOR SA FRFRMVTGLE 0.01%
DESCARTES SYS CACAMVTGLE 0.01%
AUTOLIV INC USSEMVTGLE 0.01%
AMERICAN FINANCIAL GROUP INC USUSMVTGLE 0.01%
VIVENDI SA FRFRMVTGLE 0.01%
ELISA OYJ CLASS A FIFIMVTGLE 0.01%
OMV AG ATATMVTGLE 0.01%
DAI NIPPON PRINTING CO LTD ORD JPJPMVTGLE 0.01%
EQUITY LIFESTYLE PROPERTIES USUSMVTGLE 0.01%
BATH & BODY WORKS INC USUSMVTGLE 0.01%
REGENCY CENTERS CORP USUSMVTGLE 0.01%
YAGEO CORP TWTWMVTGLE 0.01%
WIWYNN CORP TWTWMVTGLE 0.01%
VIPSHOP HOLDINGS LTD KYCNMVTGLE 0.01%
SOLVENTUM CORP USUSMVTGLE 0.01%
ANGLOGOLD ASHANTI PLC GBZA
ZA
MVTGLE
MVAFK
0.01%
2.36%
INTERGLOBE AVIATION LTD ININMVTGLE 0.01%
SVENSKA CELLULOSA AKTIEBOLAGET CLASS B SESEMVTGLE 0.01%
COMPUTERSHARE LTD ORD AUAUMVTGLE 0.01%
AES CORP USUSMVTGLE 0.01%
SEVERN TRENT PLC GBGBMVTGLE 0.01%
BJS WHOLESALE CLUB HOLDINGS USUSMVTGLE 0.01%
CCL INDUSTRIES INC CACAMVTGLE 0.01%
H WORLD GROUP LIMITED KYCNMVTGLE 0.01%
SHANDONG GOLD MINING CO LTD CNCNMVTGLE 0.01%
SHANGHAI UNITED IMAGING HEALTHCARE CO LTD CNCNMVTGLE 0.01%
RED ELECTRICA CORP SA ESESMVTGLE 0.01%
TOAST INC-CLASS A USUSMVTGLE 0.01%
DICKS SPORTING GOODS INC USUSMVTGLE 0.01%
COREBRIDGE FINANCIAL INC USUSMVTGLE 0.01%
NISSIN FOODS HOLDINGS CO LTD JPJPMVTGLE 0.01%
AMERICAN AIRLINES GROUP INC USUSMVTGLE 0.01%
AUTO TRADER GROUP PLC GBGBMVTGLE 0.01%
CREDICORP LTD BMPEMVTGLE 0.01%
FIRST HORIZON CORP USUSMVTGLE 0.01%
PLAINS ALL AMERICAN PIPELINE LP USUSMVTGLE 0.01%
ALLEGION PLC IEUSMVTGLE 0.01%
FINECOBANK BANCA FINECO SPA ITITMVTGLE 0.01%
SERVICE CORP INTERNATIONAL USUSMVTGLE 0.01%
MAKITA CORP ORD JPJPMVTGLE 0.01%
MOWI ASA NONOMVTGLE 0.01%
CLEVELAND CLIFFS INC USUSMVTGLE 0.01%
BOUYGUES SA FRFRMVTGLE 0.01%
CHESAPEAKE ENERGY CORP USUSMVTGLE 0.01%
NORSK HYDRO ASA NONOMVTGLE 0.01%
BANK ALBILAD SJSC SASAMVTGLE 0.01%
AECC AVIATION POWER CO-A CNCNMVTGLE 0.01%
CIMB GROUP HOLDINGS BHD MYMYMVTGLE 0.01%
OBAYASHI CORP ORD JPJPMVTGLE 0.01%
BANGKOK BANK PCL THTHMVTGLE 0.01%
AIER EYE HOSPITAL GROUP CO-A CNCNMVTGLE 0.01%
HEICO CORP USUSMVTGLE 0.01%
ACCTON TECHNOLOGY CORP TWTWMVTGLE 0.01%
IVANHOE MINES LTD CACA
CA
MVTGLE
MVAFK
0.01%
5.26%
KEPPEL CORP LTD ORD SGSGMVTGLE 0.01%
SHANGHAI COMMERCIAL & SAVINGS BANK LTD/THE TWTWMVTGLE 0.01%
EAST WEST BANCORP INC USUSMVTGLE 0.01%
TURK HAVA YOLLARI AO TRTRMVTGLE 0.01%
GROUPE BRUXELLES LAMBERT SA BEBEMVTGLE 0.01%
TAISHIN FINANCIAL HOLDINGS CO ORD TWTWMVTGLE 0.01%
CAMPBELL SOUP CO USUSMVTGLE 0.01%
LEGEND BIOTECH CORP KYUSMVTGLE 0.01%
SHIMADZU CORP ORD JPJPMVTGLE 0.01%
CHINA DEVELOPMENT FINL HOLDING ORD TWTWMVTGLE 0.01%
ESFAHANS MOBARAKEH STEEL CO. IRIRMVTGLE 0.01%
KINROSS GOLD CORP CACAMVTGLE 0.01%
BALOISE HOLDING AG CHCHMVTGLE 0.01%
RENAISSANCERE HOLDINGS LTD BMNOMVTGLE 0.01%
WOORI FINANCIAL GROUP INC KRKRMVTGLE 0.01%
GRUPO AEROPORTUARIO DEL PACIFICO SA DE CV MXMXMVTGLE 0.01%
CONTINENTAL AG DEDEMVTGLE 0.01%
HAIER SMART HOME CO LTD-H CNCNMVTGLE 0.01%
SHENZHOU INTERNATIONAL GROUP HOLDINGS LTD KYCNMVTGLE 0.01%
FRESENIUS MEDICAL CARE AG & CO KGAA DEDEMVTGLE 0.01%
GFL ENVIRONMENTAL INC CACAMVTGLE 0.01%
COMFORT SYSTEMS USA INC USUSMVTGLE 0.01%
DUBAI ISLAMIC BANK PJSC AEAEMVTGLE 0.01%
ISUZU MOTORS LTD JPJPMVTGLE 0.01%
SABIC AGRI-NUTRIENTS CO SASAMVTGLE 0.01%
SYENSQO SA BEBEMVTGLE 0.01%
SOLIDERE CLASS A LBLBMVTGLE 0.01%
GUIDEWIRE SOFTWARE INC USUSMVTGLE 0.01%
ALCHIP TECHNOLOGIES LTD KYTWMVTGLE 0.01%
TATA CONSUMER PRODUCTS LTD ININMVTGLE 0.01%
IDEMITSU KOSAN CO LTD ORD JPJPMVTGLE 0.01%
PICC PROPERTY AND CASUALTY CO LTD CNCNMVTGLE 0.01%
LITE-ON TECHNOLOGY CORP TWTWMVTGLE 0.01%
KASIKORNBANK PCL THTHMVTGLE 0.01%
CHINA VANKE CO LTD CNCNMVTGLE 0.01%
JABAL OMAR DEVEL SASAMVTGLE 0.01%
CLEAN HARBORS INC USUSMVTGLE 0.01%
CHINA EVERBRIGHT BANK CO LTD CNCNMVTGLE 0.01%
RAKUTEN GROUP INC JPJPMVTGLE 0.01%
KT&G CORP KRKRMVTGLE 0.01%
LENOVO GROUP LTD HKHKMVTGLE 0.01%
UNITED THERAPEUTICS CORP USUSMVTGLE 0.01%
SAMSUNG BIOLOGICS CO LTD KRKRMVTGLE 0.01%
HDFC LIFE INSURANCE CO LTD ININMVTGLE 0.01%
INTERMEDIATE CAPITAL GROUP PLC GBGBMVTGLE 0.01%
OSAKA GAS CO LTD JPJPMVTGLE 0.01%
SUMITOMO METAL MINING CO LTD ORD JPJPMVTGLE 0.01%
QORVO INC USUSMVTGLE 0.01%
CHINA ZHESHANG BANK CO LTD-A CNCNMVTGLE 0.01%
POWSZECHNY ZAKLAD UBEZPIECZE PLPLMVTGLE 0.01%
ESSENTIAL UTILITIES INC USUSMVTGLE 0.01%
UNITED UTILITIES PLC GBGBMVTGLE 0.01%
YAMAHA MOTOR CO LTD ORD JPJPMVTGLE 0.01%
APOLLO HOSPITALS ENTERPRISE ININMVTGLE 0.01%
TOPPAN HOLDINGS INC JPJPMVTGLE 0.01%
ECOPRO CO LTD KRKRMVTGLE 0.01%
SAIC MOTOR CORP LTD CNCNMVTGLE 0.01%
TRADEWEB MARKETS INC USUSMVTGLE 0.01%
EOPTOLINK TECHNOLOGY INC. LTD. CLASS A CNCNMVTGLE 0.01%
NIPPON PAINT HOLDINGS CO LTD JPJPMVTGLE 0.01%
TRELLEBORG AB CLASS B SESEMVTGLE 0.01%
ZTO EXPRESS CAYMAN INC KYCNMVTGLE 0.01%
CHINA RESOURCES BEER HOLDINGS CO LTD HKHKMVTGLE 0.01%
IRAN NATIONAL COPPER INDUSTRIES CO IRIRMVTGLE 0.01%
LARGAN PRECISION TWTWMVTGLE 0.01%
HOTAI MOTOR CO ORD TWTWMVTGLE 0.01%
CENTRICA PLC GBGBMVTGLE 0.01%
US FOODS HOLDING CORP USUSMVTGLE 0.01%
CHINA MOLYBDENUM CO LTD CLASS A CNCNMVTGLE 0.01%
TENET HEALTHCARE CORP USUSMVTGLE 0.01%
GEELY AUTOMOBILE HOLDINGS LT KYHKMVTGLE 0.01%
SPIRAX SARCO ENGINEERING PLC GBGBMVTGLE 0.01%
DEUTSCHE LUFTHANSA AG DEDEMVTGLE 0.01%
CHINA THREE GORGES NEW ENERGY GROUP CO LTD CNCNMVTGLE 0.01%
ALNYLAM PHARMACEUTICALS INC USUSMVTGLE 0.01%
EISAI JPJPMVTGLE 0.01%
TELENOR ASA NONOMVTGLE 0.01%
FUJI ELECTRIC (FUJI ELEC HLDGS) ORD JPJPMVTGLE 0.01%
ROCHE HOLDING AG ORD BRR CHCHMVTGLE 0.01%
ANHUI GUJING DISTILLERY CO-A CNCNMVTGLE 0.01%
HENKEL AG & CO KGAA BEARER SH DEDEMVTGLE 0.01%
CARSALES COM LTD ORD AUAUMVTGLE 0.01%
JIANGSU YANGHE BREWERY JOINT-S CNCNMVTGLE 0.01%
XP INC KYBR
BR
MVTGLE
MVBRA
0.01%
1.94%
MONDI PLC GBGBMVTGLE 0.01%
GALAXY ENTERTAINMENT GP. HKHKMVTGLE 0.01%
TONGWEI CO LTD-A CNCNMVTGLE 0.01%
DR SULAIMAN AL HABIB MEDICAL SERVICES GROUP CO SASAMVTGLE 0.01%
TAIWAN CEMENT CORP TWTWMVTGLE 0.01%
ADMIRAL GROUP PLC GBGBMVTGLE 0.01%
CARLYLE GROUP INC USUSMVTGLE 0.01%
WYNN RESORTS LTD USUSMVTGLE 0.01%
AECOM USUSMVTGLE 0.01%
QIAGEN NV NLDEMVTGLE 0.01%
FORMOSA CHEM & FIBRE TWTWMVTGLE 0.01%
WINGSTOP INC USUSMVTGLE 0.01%
OVINTIV INC USUSMVTGLE 0.01%
ANNALY CAPITAL MANAGEMENT INC USUSMVTGLE 0.01%
GEORGE WESTON LTD CACAMVTGLE 0.01%
GEN DIGITAL INC USUSMVTGLE 0.01%
KAJIMA CORP ORD JPJPMVTGLE 0.01%
CHINA MERCHANTS SECURITIES CO CNCNMVTGLE 0.01%
EXACT SCIENCES CORP USUSMVTGLE 0.01%
TATA POWER CO LTD ININMVTGLE 0.01%
SMITH (A.O.) CORP USUSMVTGLE 0.01%
ETIHAD ETISALAT CO SJSC SASAMVTGLE 0.01%
AIRPORTS OF THAILAND PCL THTHMVTGLE 0.01%
BHARAT PETROLEUM CORP LTD ININMVTGLE 0.01%
EICHER MOTORS LTD ININMVTGLE 0.01%
REVVITY INC USUSMVTGLE 0.01%
REALTEK SEMICONDUCTOR CORP TWTWMVTGLE 0.01%
INTERNATIONAL CONSOLIDATED AIRLINES GROUP SA ESGBMVTGLE 0.01%
JARDINE MATHESON HOLDINGS LIMITED BMHKMVTGLE 0.01%
MITSUI O.S.K. LINES LTD JPJPMVTGLE 0.01%
PETRO RIO SA BRBRMVTGLE 0.01%
CHINA SHIPBUILDING INDUSTRY CO CNCNMVTGLE 0.01%
OPEN TEXT CORP CACAMVTGLE 0.01%
SMURFIT KAPPA GROUP PLC IEIEMVTGLE 0.01%
WIPRO LTD ININMVTGLE 0.01%
Items 4601-4800 of total 6178
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