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QUALAU VanEck MSCI International Quality ETF Please read important disclosure Close important disclosure false
  • QUAL
    VanEck MSCI International Quality ETF

    QUAL
    VanEck MSCI International Quality ETF

    • NAV
      $63.14

      as at 16-Jan-26
    • Total Net Assets
      $8.24B
    • Dividend Frequency
      1 each year
    • Management fee (p.a.)
      0.40%
    • Number of securities
      302
    • Inception Date
      29-Oct-14
    The NAV is generally calculated daily after all markets are closed for that day based on the closing price of the securities on the relevant foreign stock exchange. The NAV is then converted to AUD based on the relevant London WM Reuters 4pm exchange rate. This means, due to Australia’s time zone, that the NAV will generally not be updated until around 1pm next business day.
    NEW MVAU QUAL SQUARE

    Overview

    Fund Description

    Our international quality ETF, QUAL gives investors exposure to a diversified portfolio of quality international companies listed on exchanges in developed markets around the world (ex Australia). Our international quality ETF aims to provide investment returns, before fees and other costs, which track the performance of the Index.

    Key points

    The world's highest quality companies

    Access the world's highest quality companies based on key fundamentals including (i) high return on equity, (ii) earnings stability and (iii) low financial leverage.

    Outperformance potential

    Investments focusing on companies with quality characteristics have historically delivered outperformance over the long term relative to global equity benchmarks.

    Diversified across countries, sectors and companies

    Offering investors a portfolio of approximately 300 companies across a range of geographies, sectors and economies.

      is likely to be appropriate for a consumer who is seeking capital preservation and a regular income distribution, is intending to use the product as a minor or satellite allocation within a portfolio, has an investment timeframe of at least 3 years, and has a medium risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth, is intending to use the product as a minor or satellite allocation within a portfolio, has an investment timeframe of at least 7 years, and has a very high risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth, is intending to use the product as a minor or satellite allocation within a portfolio, has an investment timeframe of at least 5 years, and has a very high risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth, is intending to use the product as a minor or satellite allocation within a portfolio, has an investment timeframe of at least 5 years, and has a high to very high risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth and a regular income distribution, is intending to use the product as a minor or satellite allocation within a portfolio, has an investment timeframe of at least 5 years, and has a high risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth and a regular income distribution, is intending to use the product as a minor or satellite allocation within a portfolio, has an investment timeframe of at least 5 years, and has a very high risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth, is intending to use the product as a core, minor or satellite allocation within a portfolio, has an investment timeframe of at least 5 years, and has a high risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth, is intending to use the product as a major, core, minor or satellite allocation within a portfolio, has an investment timeframe of at least 5 years, and has a high risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital preservation and a regular income distribution, is intending to use the product as a core, minor or satellite allocation within a portfolio, has an investment timeframe of at least 3 years, and has a medium risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth and a regular income distribution, is intending to use the product as a core, minor or satellite allocation within a portfolio, has an investment timeframe of at least 7 years, and has an extremely high risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth and a regular income distribution, is intending to use the product as a core, minor or satellite allocation within a portfolio, has an investment timeframe of at least 5 years, and has a high risk/return profile.
      is likely to be appropriate for a consumer who is seeking a regular income distribution, is intending to use the product as a minor or satellite allocation within a portfolio, has an investment timeframe of at least 5 years, and has a very high risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth, is intending to use the product as a minor or satellite allocation within a portfolio, has no investment timeframe, and has a high or very high risk/return profile.
      is likely to be appropriate for a consumer who is seeking regular income distribution, is intending to use the product as a core, minor or satellite allocation within a portfolio, has an investment timeframe of at least 3 years, and has a medium risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth, is intending to use the product as a satellite allocation within a portfolio, has no minimum investment timeframe, and has an extremely high risk/return profile.
      is likely to be appropriate for a consumer who is seeking capital growth and a regular income distribution, is intending to use the product as a minor or satellite allocation within a portfolio, has an investment timeframe of at least 3 years, and has a high risk/return profile.
      is likely to be appropriate for a consumer who is seeking a regular income distribution, is intending to use the product as a minor or satellite allocation within a portfolio, has an investment timeframe of at least 3 years, and has a medium risk/return profile.

    Performance

    Holdings & allocations

    All holdings (%) as at 16-Jan-26 Download all holdings

    No. of holdings: 302
    Security name
    Ticker
    No. of securities held
    Market value % of Fund net
    assets
    META PLATFORMS INC META US 437,078 405,804,415 4.93
    NVIDIA CORP NVDA US 1,373,503 382,886,720 4.65
    APPLE INC AAPL US 973,361 372,311,871 4.52
    MICROSOFT CORP MSFT US 520,767 358,476,045 4.35
    ELI LILLY & CO LLY US 175,690 273,088,096 3.32
    ALPHABET INC GOOGL US 503,960 248,943,651 3.02
    VISA INC V US 489,368 240,490,263 2.92
    ASML HOLDING NV ASML NA 107,791 218,368,219 2.65
    ALPHABET INC GOOG US 423,389 209,359,071 2.54
    JOHNSON & JOHNSON JNJ US 477,476 156,283,072 1.90
    WALMART INC WMT US 808,712 144,903,570 1.76
    MASTERCARD INC MA US 173,901 140,435,378 1.71
    COSTCO WHOLESALE CORP COST US 95,806 138,192,685 1.68
    NETFLIX INC NFLX US 1,008,506 132,847,139 1.61
    LAM RESEARCH CORP LRCX US 365,497 121,983,705 1.48
    ROCHE HOLDING AG ROG SW 185,387 120,574,577 1.46
    PROCTER & GAMBLE CO/THE PG US 495,861 107,277,589 1.30
    CATERPILLAR INC CAT US 106,657 103,278,721 1.25
    NOVARTIS AG NOVN SW 446,987 96,322,607 1.17
    ASTRAZENECA PLC AZN LN 336,932 94,829,601 1.15
    COCA-COLA CO/THE KO US 880,216 92,811,043 1.13
    MERCK & CO INC MRK US 566,359 92,263,831 1.12
    APPLIED MATERIALS INC AMAT US 185,564 90,833,449 1.10
    GENERAL AEROSPACE CO GE US 173,099 84,242,121 1.02
    CISCO SYSTEMS INC CSCO US 740,386 83,331,525 1.01
    UNITEDHEALTH GROUP INC UNH US 165,664 82,086,819 1.00
    NOVO NORDISK A/S NOVOB DC 906,271 81,872,543 0.99
    KLA CORP KLAC US 33,884 79,521,016 0.97
    NESTLE SA NESN SW 482,072 67,613,933 0.82
    PEPSICO INC PEP US 292,551 64,076,138 0.78
    ABBOTT LABORATORIES ABT US 350,027 63,796,556 0.77
    QUALCOMM INC QCOM US 249,428 59,522,211 0.72
    ACCENTURE PLC ACN US 135,112 57,885,498 0.70
    AMPHENOL CORP APH US 245,984 56,848,247 0.69
    LINDE PLC LIN US 84,187 55,317,307 0.67
    TJX COS INC/THE TJX US 233,602 55,032,234 0.67
    ADOBE INC ADBE US 122,695 54,385,817 0.66
    TEXAS INSTRUMENTS INC TXN US 181,363 52,010,366 0.63
    INTUITIVE SURGICAL INC ISRG US 64,476 51,634,850 0.63
    UBER TECHNOLOGIES INC UBER US 389,677 49,493,443 0.60
    ARISTA NETWORKS INC ANET US 248,284 48,251,947 0.59
    ALLIANZ SE ALV GR 67,704 44,724,425 0.54
    BLACKROCK INC BLK US 25,215 43,902,900 0.53
    UNILEVER PLC ULVR LN 458,474 43,724,215 0.53
    INTUIT INC INTU US 52,350 42,730,234 0.52
    UNION PACIFIC CORP UNP US 119,835 41,165,983 0.50
    ADVANTEST CORP 6857 JP 189,120 40,835,829 0.50
    AUTOMATIC DATA PROCESSING INC ADP US 104,321 40,669,654 0.49
    HONEYWELL INTERNATIONAL INC HON US 123,503 40,558,827 0.49
    TOKYO ELECTRON LTD 8035 JP 98,441 39,295,486 0.48
    ABB LTD ABBN SW 328,710 37,745,843 0.46
    EATON CORP PLC ETN US 73,321 37,727,857 0.46
    GSK PLC GSK LN 979,763 35,646,752 0.43
    VERTEX PHARMACEUTICALS INC VRTX US 52,754 34,852,940 0.42
    LOCKHEED MARTIN CORP LMT US 39,064 34,057,400 0.41
    PARKER-HANNIFIN CORP PH US 23,524 33,250,518 0.40
    PROGRESSIVE CORP/THE PGR US 107,720 32,631,236 0.40
    L'OREAL SA OR FP 46,489 31,052,985 0.38
    ZURICH INSURANCE GROUP AG ZURN SW 28,049 30,179,998 0.37
    TRANE TECHNOLOGIES PLC TT US 51,060 29,772,326 0.36
    MOODY'S CORP MCO US 36,542 29,478,655 0.36
    RELX PLC REL LN 443,210 27,465,871 0.33
    RECRUIT HOLDINGS CO LTD 6098 JP 310,318 27,010,884 0.33
    RHEINMETALL AG RHM GR 8,154 26,918,005 0.33
    CME GROUP INC CME US 63,975 26,765,980 0.33
    HERMES INTERNATIONAL RMS FP 6,791 25,813,060 0.31
    CINTAS CORP CTAS US 87,719 25,659,827 0.31
    HOWMET AEROSPACE INC HWM US 76,053 25,602,215 0.31
    SHERWIN-WILLIAMS CO/THE SHW US 47,642 25,518,655 0.31
    RIO TINTO PLC RIO LN 200,274 25,459,894 0.31
    CADENCE DESIGN SYSTEMS INC CDNS US 53,435 25,391,724 0.31
    IDEXX LABORATORIES INC IDXX US 22,923 24,546,706 0.30
    INDUSTRIA DE DISENO TEXTIL SA ITX SM 252,081 24,440,084 0.30
    ILLINOIS TOOL WORKS INC ITW US 61,327 24,186,551 0.29
    3M CO MMM US 95,562 24,003,150 0.29
    CUMMINS INC CMI US 27,319 23,674,968 0.29
    MARSH & MCLENNAN COS INC MMC US 84,218 22,994,332 0.28
    TOKIO MARINE HOLDINGS INC 8766 JP 401,918 22,971,206 0.28
    HONG KONG EXCHANGES & CLEARING LTD 388 HK 268,725 22,610,412 0.27
    GENERAL DYNAMICS CORP GD US 40,458 22,249,024 0.27
    MUENCHENER RUECKVERSICHERUNGS-GESELLSCH MUV2 GR 24,180 22,117,120 0.27
    BAE SYSTEMS PLC BA/ LN 515,474 21,557,618 0.26
    FAST RETAILING CO LTD 9983 JP 35,844 21,267,019 0.26
    ZOETIS INC ZTS US 113,545 21,186,116 0.26
    FORTINET INC FTNT US 185,863 20,972,013 0.25
    MONOLITHIC POWER SYSTEMS INC MPWR US 13,192 20,402,035 0.25
    KEYENCE CORP 6861 JP 33,947 19,887,509 0.24
    NIKE INC NKE US 204,833 19,739,764 0.24
    AUTODESK INC ADSK US 49,551 19,706,917 0.24
    WW GRAINGER INC GWW US 12,177 19,480,284 0.24
    REGENERON PHARMACEUTICALS INC REGN US 17,172 18,842,547 0.23
    CHIPOTLE MEXICAN GRILL INC CMG US 311,998 18,662,436 0.23
    NINTENDO CO LTD 7974 JP 183,364 18,268,332 0.22
    ATLAS COPCO AB ATCOA SS 587,471 18,197,062 0.22
    MONSTER BEVERAGE CORP MNST US 153,800 17,996,477 0.22
    FASTENAL CO FAST US 270,592 17,716,779 0.22
    HOYA CORP 7741 JP 71,360 17,114,861 0.21
    RECKITT BENCKISER GROUP PLC RKT LN 137,529 16,847,105 0.20
    FERRARI NV RACE IM 30,803 16,044,296 0.19
    AMERIPRISE FINANCIAL INC AMP US 20,643 15,738,183 0.19
    COMPASS GROUP PLC CPG LN 335,153 15,379,128 0.19
    SHIN-ETSU CHEMICAL CO LTD 4063 JP 284,857 15,349,995 0.19
    FERGUSON ENTERPRISES INC FERG US 39,742 14,812,901 0.18
    PAYPAL HOLDINGS INC PYPL US 170,434 14,513,870 0.18
    COMFORT SYSTEMS USA INC FIX US 8,373 14,037,262 0.17
    EDWARDS LIFESCIENCES CORP EW US 107,772 13,607,617 0.17
    HOLCIM AG HOLN SW 92,836 13,498,532 0.16
    CANADIAN NATIONAL RAILWAY CO CNR CN 87,882 13,168,713 0.16
    ELECTRONIC ARTS INC EA US 42,593 13,022,409 0.16
    3I GROUP PLC III LN 189,627 12,765,335 0.16
    PAYCHEX INC PAYX US 75,775 12,610,830 0.15
    PARTNERS GROUP HOLDING AG PGHN SW 6,084 12,430,118 0.15
    ROCKWELL AUTOMATION INC ROK US 19,852 12,347,733 0.15
    ADYEN NV ADYEN NA 5,051 12,205,081 0.15
    EXPERIAN PLC EXPN LN 184,348 12,169,960 0.15
    CELESTICA INC CLS CN 25,434 11,932,064 0.14
    PUBLIC STORAGE PSA US 27,069 11,908,253 0.14
    RESMED INC RMD US 30,008 11,570,183 0.14
    UNIVERSAL MUSIC GROUP NV UMG NA 305,586 11,445,810 0.14
    COGNIZANT TECHNOLOGY SOLUTIONS CORP CTSH US 90,166 11,437,268 0.14
    DISCO CORP 6146 JP 19,928 11,436,823 0.14
    EMCOR GROUP INC EME US 10,874 11,372,735 0.14
    KINROSS GOLD CORP K CN 214,657 10,812,624 0.13
    PRUDENTIAL PLC PRU LN 455,989 10,799,883 0.13
    DR HORTON INC DHI US 45,832 10,699,737 0.13
    OLD DOMINION FREIGHT LINE INC ODFL US 40,538 10,658,633 0.13
    AGILENT TECHNOLOGIES INC A US 50,890 10,637,347 0.13
    COPART INC CPRT US 171,944 10,562,955 0.13
    WILLIAMS-SONOMA INC WSM US 33,358 10,561,411 0.13
    DAIICHI SANKYO CO LTD 4568 JP 335,199 10,504,335 0.13
    CHUGAI PHARMACEUTICAL CO LTD 4519 JP 133,048 10,397,685 0.13
    GARMIN LTD GRMN US 32,348 10,255,679 0.12
    GIVAUDAN SA GIVN SW 1,722 10,220,725 0.12
    KONE OYJ KNEBV FH 92,964 10,165,225 0.12
    TERADYNE INC TER US 29,713 10,147,253 0.12
    GEBERIT AG GEBN SW 8,797 10,065,538 0.12
    ULTA BEAUTY INC ULTA US 9,941 9,872,996 0.12
    HARTFORD INSURANCE GROUP INC/THE HIG US 50,283 9,754,022 0.12
    SANDVIK AB SAND SS 181,926 9,651,502 0.12
    ASM INTERNATIONAL NV ASM NA 8,060 9,647,037 0.12
    GE HEALTHCARE TECHNOLOGIES INC GEHC US 78,224 9,572,356 0.12
    MS&AD INSURANCE GROUP HOLDINGS INC 8725 JP 240,937 9,257,156 0.11
    ATLAS COPCO AB ATCOB SS 341,381 9,235,275 0.11
    VEEVA SYSTEMS INC VEEV US 27,596 9,179,114 0.11
    JABIL INC JBL US 23,140 8,704,215 0.11
    IMPERIAL BRANDS PLC IMB LN 142,481 8,686,906 0.11
    HERSHEY CO/THE HSY US 28,886 8,551,000 0.10
    LULULEMON ATHLETICA INC LULU US 27,530 8,318,960 0.10
    CBOE GLOBAL MARKETS INC CBOE US 19,518 7,992,140 0.10
    EXPEDITORS INTERNATIONAL OF WASHINGTON EXPD US 32,194 7,826,701 0.10
    BROOKFIELD ASSET MANAGEMENT LTD BAM CN 98,748 7,801,112 0.09
    TRACTOR SUPPLY CO TSCO US 101,897 7,780,505 0.09
    FUJIKURA LTD 5803 JP 46,093 7,730,767 0.09
    NEXT PLC NXT LN 27,586 7,602,750 0.09
    WOLTERS KLUWER NV WKL NA 49,840 7,581,272 0.09
    HUBBELL INC HUBB US 10,262 7,516,353 0.09
    BROADRIDGE FINANCIAL SOLUTIONS INC BR US 22,854 7,479,678 0.09
    VERALTO CORP VLTO US 48,583 7,466,532 0.09
    PULTEGROUP INC PHM US 38,280 7,462,323 0.09
    SIKA AG SIKA SW 26,228 7,343,627 0.09
    NVR INC NVR US 648 7,334,598 0.09
    LASERTEC CORP 6920 JP 21,051 7,294,646 0.09
    TEXAS PACIFIC LAND CORP TPL US 14,378 7,263,360 0.09
    WATERS CORP WAT US 12,113 7,023,745 0.09
    MTU AERO ENGINES AG MTX GR 10,250 6,891,998 0.08
    DARDEN RESTAURANTS INC DRI US 21,330 6,852,548 0.08
    T ROWE PRICE GROUP INC TROW US 42,851 6,830,631 0.08
    DEXCOM INC DXCM US 64,607 6,725,202 0.08
    OTSUKA HOLDINGS CO LTD 4578 JP 77,027 6,576,242 0.08
    LEIDOS HOLDINGS INC LDOS US 22,309 6,501,852 0.08
    ROLLINS INC ROL US 67,157 6,306,053 0.08
    GENMAB A/S GMAB DC 12,279 6,232,420 0.08
    PPG INDUSTRIES INC PPG US 37,200 6,137,541 0.07
    LENNOX INTERNATIONAL INC LII US 7,785 6,128,131 0.07
    PUBLICIS GROUPE SA PUB FP 40,636 6,085,310 0.07
    CH ROBINSON WORLDWIDE INC CHRW US 22,801 5,999,150 0.07
    BALL CORP BALL US 70,121 5,886,365 0.07
    UNITED THERAPEUTICS CORP UTHR US 8,384 5,834,853 0.07
    DECKERS OUTDOOR CORP DECK US 38,681 5,830,088 0.07
    CHURCH & DWIGHT CO INC CHD US 42,846 5,811,356 0.07
    CHECK POINT SOFTWARE TECHNOLOGIES LTD CHKP US 20,775 5,769,918 0.07
    WARTSILA OYJ ABP WRT1V FH 97,343 5,678,517 0.07
    VAT GROUP AG VACN SW 5,976 5,639,080 0.07
    NETAPP INC NTAP US 36,221 5,630,101 0.07
    ROCHE HOLDING AG RO SW 8,446 5,611,310 0.07
    GARTNER INC IT US 16,119 5,565,706 0.07
    CDW CORP/DE CDW US 27,923 5,506,856 0.07
    W R BERKLEY CORP WRB US 53,593 5,445,540 0.07
    TECHTRONIC INDUSTRIES CO LTD 669 HK 273,823 5,428,753 0.07
    ASICS CORP 7936 JP 136,142 5,359,709 0.07
    BE SEMICONDUCTOR INDUSTRIES NV BESI NA 17,485 5,247,136 0.06
    SNAP-ON INC SNA US 9,642 5,215,528 0.06
    SAGE GROUP PLC/THE SGE LN 245,905 5,191,245 0.06
    HALMA PLC HLMA LN 69,715 5,163,648 0.06
    LOGITECH INTERNATIONAL SA LOGN SW 35,432 5,080,547 0.06
    CARLISLE COS INC CSL US 9,232 5,026,365 0.06
    KONGSBERG GRUPPEN ASA KOG NO 101,887 5,017,858 0.06
    WEST PHARMACEUTICAL SERVICES INC WST US 12,857 4,999,806 0.06
    CGI INC GIB/A CN 36,268 4,983,531 0.06
    FINECOBANK BANCA FINECO SPA FBK IM 121,844 4,830,164 0.06
    HANNOVER RUECK SE HNR1 GR 11,310 4,801,542 0.06
    BEST BUY CO INC BBY US 47,228 4,790,314 0.06
    SCHINDLER HOLDING AG SCHP SW 8,255 4,776,550 0.06
    PENTAIR PLC PNR US 29,324 4,709,925 0.06
    OKLO INC OKLO US 32,728 4,651,633 0.06
    EPIROC AB EPIA SS 125,342 4,646,404 0.06
    F5 INC FFIV US 11,472 4,605,973 0.06
    ALFA LAVAL AB ALFA SS 55,271 4,545,712 0.06
    KUEHNE + NAGEL INTERNATIONAL AG KNIN SW 12,865 4,423,479 0.05
    GRACO INC GGG US 32,812 4,318,286 0.05
    JACK HENRY & ASSOCIATES INC JKHY US 14,987 4,269,629 0.05
    ALLEGION PLC ALLE US 17,273 4,265,957 0.05
    STRAUMANN HOLDING AG STMN SW 22,998 4,262,254 0.05
    OMNICOM GROUP INC OMC US 35,618 4,254,113 0.05
    AVERY DENNISON CORP AVY US 14,875 4,200,537 0.05
    BANDAI NAMCO HOLDINGS INC 7832 JP 106,112 4,192,546 0.05
    ADMIRAL GROUP PLC ADM LN 68,487 4,156,371 0.05
    NOMURA RESEARCH INSTITUTE LTD 4307 JP 70,470 4,002,279 0.05
    NOVA LTD NVMI IT 5,905 3,923,800 0.05
    DICK'S SPORTING GOODS INC DKS US 12,137 3,911,891 0.05
    SINGAPORE EXCHANGE LTD SGX SP 189,203 3,887,807 0.05
    BELIMO HOLDING AG BEAN SW 2,334 3,878,803 0.05
    MONCLER SPA MONC IM 43,705 3,868,681 0.05
    WATSCO INC WSO US 6,575 3,755,343 0.05
    FISHER & PAYKEL HEALTHCARE CORP LTD FPH NZ 110,028 3,706,298 0.05
    SONOVA HOLDING AG SOON SW 8,956 3,637,867 0.04
    SHIONOGI & CO LTD 4507 JP 131,200 3,556,710 0.04
    NEUROCRINE BIOSCIENCES INC NBIX US 17,317 3,431,776 0.04
    CARLSBERG AS CARLB DC 16,979 3,380,144 0.04
    GREAT-WEST LIFECO INC GWO CN 46,586 3,345,502 0.04
    ORION OYJ ORNBV FH 26,876 3,293,298 0.04
    JAPAN EXCHANGE GROUP INC 8697 JP 193,726 3,267,540 0.04
    DAIFUKU CO LTD 6383 JP 61,068 3,232,339 0.04
    SMITHS GROUP PLC SMIN LN 61,621 3,223,780 0.04
    METSO OUTOTEC OYJ METSO FH 112,410 3,195,807 0.04
    FRESNILLO PLC FRES LN 42,573 3,194,225 0.04
    INTERTEK GROUP PLC ITRK LN 34,637 3,178,768 0.04
    DYNATRACE INC DT US 52,124 3,111,601 0.04
    BUREAU VERITAS SA BVI FP 65,097 3,073,205 0.04
    EVOLUTION AB EVO SS 31,369 3,053,797 0.04
    COCA-COLA HBC AG CCH LN 38,565 3,032,544 0.04
    IA FINANCIAL CORP INC IAG CN 15,967 2,994,850 0.04
    GEA GROUP AG G1A GR 27,740 2,948,996 0.04
    COLOPLAST A/S COLOB DC 21,928 2,941,156 0.04
    BEIERSDORF AG BEI GR 16,973 2,898,192 0.04
    AUTO TRADER GROUP PLC AUTO LN 247,766 2,893,169 0.04
    FUTU HOLDINGS LTD FUTU US 10,912 2,806,200 0.03
    TOROMONT INDUSTRIES LTD TIH CN 14,614 2,801,606 0.03
    OBIC CO LTD 4684 JP 60,201 2,717,803 0.03
    SCREEN HOLDINGS CO LTD 7735 JP 15,845 2,681,550 0.03
    SCHINDLER HOLDING AG SCHN SW 4,760 2,604,297 0.03
    CAPCOM CO LTD 9697 JP 74,268 2,581,290 0.03
    MAGNUM ICE CREAM CO NV/THE MICC LN 101,531 2,528,762 0.03
    CONTINENTAL AG CON GR 21,805 2,501,608 0.03
    ADDTECH AB ADDTB SS 48,902 2,500,014 0.03
    WISE PLC WISE LN 148,966 2,483,905 0.03
    ERIE INDEMNITY CO ERIE US 5,795 2,456,705 0.03
    LUNDIN GOLD INC LUG CN 19,689 2,456,541 0.03
    EPIROC AB EPIB SS 74,172 2,418,923 0.03
    PAYCOM SOFTWARE INC PAYC US 10,668 2,369,939 0.03
    YANGZIJIANG SHIPBUILDING HOLDINGS LTD YZJSGD SP 559,447 2,331,615 0.03
    AMERICAN FINANCIAL GROUP INC/OH AFG US 11,486 2,253,357 0.03
    LIFCO AB LIFCOB SS 41,347 2,243,797 0.03
    UNIPOL ASSICURAZIONI SPA UNI IM 62,931 2,211,828 0.03
    PANDORA A/S PNDORA DC 16,826 2,149,739 0.03
    SWEDISH ORPHAN BIOVITRUM AB SOBI SS 38,016 2,043,314 0.02
    SCOUT24 SE G24 GR 13,327 1,986,951 0.02
    YOKOGAWA ELECTRIC CORP 6841 JP 39,152 1,959,973 0.02
    NICE LTD NICE IT 11,046 1,914,239 0.02
    ELISA OYJ ELISA FH 29,387 1,879,042 0.02
    SITC INTERNATIONAL HOLDINGS CO LTD 1308 HK 356,182 1,792,398 0.02
    TIS INC 3626 JP 37,731 1,745,549 0.02
    GJENSIDIGE FORSIKRING ASA GJF NO 42,113 1,742,088 0.02
    INDUTRADE AB INDT SS 44,660 1,714,173 0.02
    EMS-CHEMIE HOLDING AG EMSN SW 1,456 1,666,500 0.02
    SHIMADZU CORP 7701 JP 40,271 1,663,212 0.02
    DAITO TRUST CONSTRUCTION CO LTD 1878 JP 56,777 1,650,745 0.02
    UNICHARM CORP 8113 JP 188,421 1,605,447 0.02
    IPSEN SA IPN FP 6,845 1,597,929 0.02
    ZOZO INC 3092 JP 133,354 1,575,490 0.02
    NEMETSCHEK SE NEM GR 10,864 1,561,283 0.02
    KIKKOMAN CORP 2801 JP 118,135 1,553,996 0.02
    TREND MICRO INC/JAPAN 4704 JP 25,324 1,550,973 0.02
    SANRIO CO LTD 8136 JP 33,509 1,524,839 0.02
    CTS EVENTIM AG & CO KGAA EVD GR 11,240 1,506,070 0.02
    M3 INC 2413 JP 73,997 1,461,131 0.02
    RATIONAL AG RAA GR 1,205 1,382,452 0.02
    BROWN-FORMAN CORP BF/B US 33,472 1,322,747 0.02
    OTSUKA CORP 4768 JP 43,277 1,321,770 0.02
    CVC CAPITAL PARTNERS PLC CVC NA 49,634 1,305,129 0.02
    VERBUND AG VER AV 11,826 1,302,360 0.02
    LOTUS BAKERIES NV LOTB BB 80 1,282,991 0.02
    SYSMEX CORP 6869 JP 83,978 1,248,234 0.02
    MONOTARO CO LTD 3064 JP 55,517 1,202,171 0.01
    BUZZI UNICEM SPA BZU IM 13,606 1,200,834 0.01
    ORACLE CORP JAPAN 4716 JP 10,166 1,120,174 0.01
    HIKMA PHARMACEUTICALS PLC HIK LN 31,724 997,588 0.01
    KOBE BUSSAN CO LTD 3038 JP 29,275 987,275 0.01
    ROCKWOOL INTERNATIONAL A/S ROCKB DC 18,347 892,450 0.01
    LA FRANCAISE DES JEUX SAEM FDJ FP 18,992 758,818 0.01
    MAGNUM ICE CREAM CO NV/THE MICC NA 1,626 40,521 0.00
    CONSTELLATION SOFTWARE INC/CANADA 2299955D CN 2,676 -- 0.00
    OTHER/CASH --   6,561,075 0.08
    Total 100.00
    These are not recommendations to buy or to sell any security.

    Dividends

    Election of Dividend Reinvestment Plan (DRP)

    You can elect DRP by logging into MUFG’s Investor Centre. Once you are logged in, please proceed to the “Payments and Tax” tab and select “Reinvestment Update”.

    Documents & insights

    QUALAU /blog/international-equity/