iShares International Dividend Growth ETF

Yield per half year: -0.93%
Industry: Foreign Large Cap Equities

AIA Group Limited
Infosys
Reliance Industries Limited
ITC Limited
Asian Paints Limited
Nomura Real Estate Holdings, Inc.
Waste Connections, Inc.
Sun Pharmaceutical Industries Limited
Shin Nippon Biomedical Laboratories, Ltd.
CSOP Hang Seng Index ETF
LTIMindtree Limited
Rasa Corporation
NHPC Limited
Mphasis Limited
The United Laboratories International Holdings Limited
Pidilite Industries Limited
Redington Limited
m-up holdings, Inc.
Persistent Systems Limited
Tata Elxsi Limited
Other
Other: 93.6%Share share by companyen.porti.ru
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TitleIndustryShare, %P/BVP/SP/EEV/EbitdaDividend yield
AIA Group Limited AIA Group Limited Financials 2.25798 2.33 4.71 25.75 0 3.71
Infosys Infosys Technology 1.68546 6.89 3.94 23.07 17.19 2.88
Reliance Industries Limited Reliance Industries Limited Energy 0.45291 4.25 4.37 56.56 23.64 0.4637
ITC Limited ITC Limited Consumer Discretionary 0.44585 7.15 7.61 26.16 18.45 2.54
Asian Paints Limited Asian Paints Limited Industrials 0.25964 14.03 7.69 49.91 33.15 1.22
Nomura Real Estate Holdings, Inc. Nomura Real Estate Holdings, Inc. Real Estate 0.22289 0.3275 0.9504 10.24 6.02 5.27
Waste Connections, Inc. Waste Connections, Inc. Industrials 0.20899 4.97 4.66 49.86 17.86 0.6374
Sun Pharmaceutical Industries Limited Sun Pharmaceutical Industries Limited Healthcare 0.16907 5.75 8.08 40.31 27.47 0.7986
Shin Nippon Biomedical Laboratories, Ltd. Healthcare 0.14322 1.87 2.42 11.55 8.89 5.52
CSOP Hang Seng Index ETF Нефтегаз 0.11924 0 0 0 0 5.79
LTIMindtree Limited Technology 0.06607 7.41 4.18 32.4 20.98 1.7
Rasa Corporation 0.06575 1.07 0.8188 11.45 7.26 6.25
NHPC Limited NHPC Limited Utilities 0.06027 1.95 8.87 23.57 19.38 2.09
Mphasis Limited Mphasis Limited Technology 0.05193 5.16 3.42 29.2 17.8 2
The United Laboratories International Holdings Limited Healthcare 0.04884 0.8555 0.7937 4.04 3.19 7.26
Pidilite Industries Limited Pidilite Industries Limited Consumer Discretionary 0.04493 17.49 12.21 87.13 54.64 0.8632
Redington Limited Technology 0.03841 2.04 0.1795 13.18 8.17 3.23
m-up holdings, Inc. m-up holdings, Inc. Communication Services 0.03398 6.27 2.41 30.26 10.79 1.92
Persistent Systems Limited Persistent Systems Limited Technology 0.02941 3.86 1.95 17.49 10.49 0.6238
Tata Elxsi Limited Tata Elxsi Limited Technology 0.02796 19.06 13.44 60.27 40.91 1.85
Indraprastha Gas Limited Indraprastha Gas Limited Utilities 0.01619 2.99 2.06 14.55 9.7 1.25
CRISIL Limited CRISIL Limited Financials 0.01402 17.08 13.44 64.06 43.75 1.37
Grindwell Norton Limited Grindwell Norton Limited Industrials 0.01001 10.61 8.16 57.16 37.39 0.5119
Schaeffler India Limited Schaeffler India Limited Consumer Cyclical 0.00904 9.9 6.41 56.24 33.51 1.36
Berger Paints India Limited Berger Paints India Limited Materials 0.00828 12.8 6.16 59.06 36.09 0.4831
Sumiseki Holdings,Inc. Energy 0.00748 3.72 4.45 13.35 10.51 5.03
Honeywell Automation India Limited Industrials 0.00381 9.17 8.15 65.94 41.11 0.3603
Astral Limited Astral Limited Industrials 0.00304 15.94 9.23 95.38 53.86 0.1915
KEI Industries Limited KEI Industries Limited Industrials 0.00218 9.83 3.82 53.28 34.86 0.1457
Balaji Amines Limited Materials 0.00076 3.61 4.16 33.32 19.16 0.4216
Vinati Organics Limited Materials 0.00045 6.69 8.7 50.91 32.26 0.3553
ZF Commercial Vehicle Control Systems India Limited Consumer Cyclical 0.00045 10.44 7.7 71.68 43.99 0.0812
Idaho Strategic Resources, Inc. Materials 0.00002 3.7 5.56 65.63 30.62 0
NOKIA NOKIA Technology 0 0.8263 0.7658 25.63 4.96 3.48
ConocoPhillips ConocoPhillips Energy 0 2.88 2.53 12.95 6.64 2.72
CNH Industrial N.V. CNH Industrial N.V. Industrials 0 1.82 0.7121 11.34 10.39 4.45
Audacy, Inc. Consumer Discretionary 0 0.0613 0.0254 12.12 16.2 0
AMTD Digital Inc. Technology -0.00001 16.8 265.23 210.12 524.49 0
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