Fundology

Amundi Msci EM Latin America U ETFS holdings

As of , Amundi Msci EM Latin America U ETFS (Amundi Msci EM Latin America U ETFS, ISIN LU1681045024) has 139 holdings on our record. Amundi reports 143 positions in all. Weights are shares of the whole fund.

Amundi Msci EM Latin America U ETFS: price, returns and charges

Holdings
139
143 reported by the issuer
Ten largest
44.4%
of the whole fund
Effective number of holdings
37
As concentrated as this many equal-sized holdings (how it is worked out)
Largest holding
7.2%
Advanced Micro Devices

Map of the largest holdings

The 10 largest holdings of Amundi Msci EM Latin America U ETFS, together 44.4% of the fund. Each tile’s area is its share of the whole fund; the colour is its sector. Signed-in members can read every holding in the Holdings tab.

Advanced Micro Devices (AMD): 7.15% of the fund · Information TechnologyAdvanced Micro Devices7.2%Astera Labs (ALAB): 5.66% of the fund · Information TechnologyAstera Labs5.7%Applied Materials (AMAT): 5.33% of the fund · Information TechnologyApplied Materials5.3%Amazon (AMZN): 4.92% of the fund · Consumer DiscretionaryAmazon4.9%Dynatrace (DT): 4.35% of the fund · Information TechnologyDynatrace4.3%Kla (KLAC): 3.76% of the fund · Information TechnologyKla3.8%Liberty Media Corporation - (FWONK): 3.76% of the fund · Communication ServicesLiberty Media Corpora…3.8%Constellation Brands (STZ): 3.43% of the fund · Consumer StaplesConstellation Brands3.4%NVIDIA (NVDA): 3.34% of the fund · Information TechnologyNVIDIA3.3%Tesla (TSLA): 2.73% of the fund · Consumer DiscretionaryTesla2.7%
  • Information Technology 29.6%
  • Consumer Discretionary 7.7%
  • Communication Services 3.8%
  • Consumer Staples 3.4%

Weights of the whole fund, as of 30/09/2026. The same holdings as a list

Source: Amundi, holdings as published, as of

More:Amundi Msci EM Latin America U ETFS: key facts, returns and chargesCompare what it holds with another fundHoldings overlapHow overlap is measured

Holdings and weights are as published by Amundi on 30/09/2026 and change as the fund trades. This is information, not advice.