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iShares MSCI Finland ETF (EFNL) Holdings

iShares MSCI Finland ETF logo
$35.64
+0.15 (+0.42%)
(As of 11/1/2024 ET)

Top 48 EFNL Holdings

RankCompanyCurrent PriceWeightShares Held
1Nordea Bank AbpN/A16.90%285,282
2Nokia OyjN/A11.41%474,127
3Sampo OyjN/A9.84%44,490
4UPM-Kymmene OyjN/A7.24%46,994
5KONE OyjN/A4.68%16,670
6Wärtsilä Oyj AbpN/A4.62%42,187
7Elisa OyjN/A3.46%14,428
8Fortum OyjN/A3.44%45,357
9Stora Enso OyjN/A3.29%58,170
10Metso OyjN/A3.05%63,126
11EUR CASHN/A3.02%550,945
12Neste OyjN/A2.86%36,375
13Orion OyjN/A2.86%11,185
14Kesko OyjN/A2.76%28,293
15Konecranes PlcN/A2.59%7,166
16Valmet OyjN/A2.09%15,847
17Huhtamäki OyjN/A2.08%10,362
18Kemira OyjN/A1.44%12,641
19Cargotec CorporationN/A1.31%4,380
20TietoEVRY OyjN/A1.27%12,267
21Qt Group OyjN/A1.12%2,347
22Mandatum OyjN/A1.03%43,063
23Kojamo OyjN/A0.84%16,578
24Outokumpu OyjN/A0.84%46,714
25Nokian Renkaat OyjN/A0.78%17,231
26Metsä Board OyjN/A0.69%22,760
27Kalmar OyjN/A0.66%4,393
28Revenio Group OyjN/A0.65%3,705
29Puuilo OyjN/A0.63%12,514
30Marimekko OyjN/A0.51%7,178
31YIT OyjN/A0.46%34,789
32Tokmanni Group OyjN/A0.45%7,693
33Citycon OyjN/A0.39%19,245
34CASH COLLATERAL EUR WFFUTN/A0.21%39,000
35Kempower CorpN/A0.19%3,427
36Musti Group OyjN/A0.15%1,080
37Finnair OyjN/A0.09%6,750
38Harvia OyjN/A0.09%363
39EUR/USD PurchasedN/A0.01%2,169
40EUR/USD PurchasedN/A0.01%1,105
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41EUR/USD SoldN/A0.00%2,013
42EUR/USD SoldN/A0.00%1,023
43EUR/USD SoldN/A0.00%2,169
44EUR/USD SoldN/A0.00%1,105
45Euro Stoxx 50 Dec 24N/A0.00%11
46EUR/USD PurchasedN/A-0.01%1,023
47EUR/USD PurchasedN/A-0.01%2,013
48USD CASHN/A-0.01%2,656

Geographic Exposure

  • Finland
    96.4%

Currency Exposure

  • EUR
    100.0%

Sector Exposure

  • Financials
    17.1%
  • Industrials
    16.5%
  • Materials
    15.3%
  • Technology
    13.5%
  • Communications
    3.5%
  • Utilities
    3.4%
  • Health Care
    3.4%
  • Consumer Staples
    3.1%
  • Energy
    3.0%
  • Consumer Discretionary
    2.2%
  • Real Estate
    1.2%

Industry Exposure

  • Banks
    17.1%
  • Machinery
    16.5%
  • Communications Equipment
    11.4%
  • Paper & Forest Products
    11.0%
  • Diversified Telecommunication Services
    3.5%
  • Utilities
    3.4%
  • Specialty Retail
    3.1%
  • Oil Gas & Consumable Fuels
    3.0%
  • Biotechnology
    2.8%
  • Containers & Packaging
    2.1%
  • Chemicals
    1.4%
  • Real Estate Management & Development
    1.2%
  • IT Services
    1.2%
  • Software
    0.9%
  • Metals & Mining
    0.9%
  • Auto Components
    0.7%
  • Health Care Equipment & Supplies
    0.6%
  • Textiles Apparel & Luxury Goods
    0.5%
  • Household Durables
    0.5%
  • Multiline Retail
    0.4%

SubIndustry Exposure

  • Diversified Banks
    17.1%
  • Industrial Machinery
    13.4%
  • Communications Equipment
    11.4%
  • Paper Products
    11.0%
  • Alternative Carriers
    3.5%
  • Electric Utilities
    3.4%
  • Food Retail
    3.1%
  • Construction Machinery & Heavy Trucks
    3.1%
  • Oil & Gas Refining & Marketing
    3.0%
  • Biotechnology
    2.8%
  • Paper Packaging
    2.1%
  • Specialty Chemicals
    1.4%
  • Real Estate Operating Companie
    1.2%
  • IT Consulting & Other Services
    1.2%
  • Application Software
    0.9%
  • Steel
    0.9%
  • Auto Parts & Equipment
    0.7%
  • Health Care Equipment
    0.6%
  • Apparel Accessories & Luxury
    0.5%
  • Homebuilding
    0.5%
  • Department Stores
    0.4%

Coupon Exposure

  • 0-2
    99.8%
  • 2-4
    0.2%

Maturity Exposure

  • 20-30
    0.2%

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This page (BATS:EFNL) was last updated on 11/2/2024 by MarketBeat.com Staff
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