← Back to list

iShares Core MSCI EM IMI UCITS ETF USD (Acc)

Data Integrity: 100% Report Error
MSCI Emerging Markets IMI

ISIN
IE00BKM4GZ66
Issuer
iShares
TER
0.18%
Fund Size
€21,000M
Domicile
IE
Distribution Policy
Accumulating
Replication Method
Physical
Investment-DNA Analysis

Document Hub
Sustainability 55/100
Scenario Performance
vs. MSCI Emerging Markets IMI
Loading...
Error loading comparison.
Key Facts
  • Base Currency USD
  • Distribution Policy Accumulating
  • Replication Method Physical
  • Domicile IE
  • UCITS Compliant Yes
Risk Profile (1y)
0
Max Drawdown
-0.00%
Volatility (1y)
0.00%
Sharpe Ratio
N/A
Tracking Error
N/A
Available Share Classes
  • iShares Core MSCI EM IMI UCITS ETF USD (Acc)
    ISIN: IE00BKM4GZ66 | Base Currency: USD
Institutional Analysis

Calculating tracking metrics...

Efficiency & Tracking
Tracking Difference (TD) --

The performance gap between the fund and its index (Lower is typically better).

Tracking Error --

The volatility of the tracking difference (Shows replication quality).

Efficiency Note: Compared to peers tracking MSCI Emerging Markets IMI, this fund's replication is considered highly efficient.
Holdings Snapshot Date: 2026-04-08 · Source: csv_import
Number of Holdings

18

Coverage

34.3%

Last Updated

2026-05-25 02:00

Top Holdings (18)
# Name ISIN Asset Class Country Weight
Taiwan Semiconductor US8740391003 Technology TW 9.79%
Samsung Electronics Co KR7005930003 Technology KR 4.06%
Tencent Holdings Ltd KYG875721634 Communication Services CN 3.89%
Alibaba Group Holding KYG017191142 Consumer Discretionary CN 2.79%
Reliance Industries Ltd INE002A01018 Energy IN 1.76%
PDD Holdings Inc US69344W1080 Consumer Discretionary CN 1.49%
Meituan KYG596691041 Consumer Discretionary CN 1.32%
Infosys Ltd INE009A01021 Technology IN 1.16%
China Construction Bank CNE1000002H1 Financials CN 1.09%
SK Hynix Inc KR7000660001 Technology KR 1.02%
ICBC CNE1000003G1 Financials CN 0.92%
JD.com Inc US47215P1066 Consumer Discretionary CN 0.86%
HDFC Bank Ltd INE040A01034 Financials IN 0.82%
Mediatek Inc TW0002454006 Technology TW 0.76%
Naspers Ltd ZAE000015889 Communication Services ZA 0.72%
Vale SA BRVALEACNOR0 Materials BR 0.66%
Petrobras SA BRPETRACNOR9 Energy BR 0.62%
Bank Central Asia ID1000109507 Financials ID 0.56%
Country Breakdown
CN 12.4%
TW 10.5%
KR 5.1%
IN 3.7%
BR 1.3%
Sector Breakdown
Technology 16.8%
Consumer Discretionary 6.5%
Communication Services 4.6%
Financials 3.4%
Energy 2.4%