Fundology

EMCA holdings

As of , EMCA (iShares JP Morgan USD EM Corp Bond UCITS ETF, ISIN IE00BFM6TD65) has 1,272 holdings on our record. iShares reports 1,273 positions in all. Weights are shares of the whole fund.

EMCA: price, returns and charges

Holdings
1,272
1,273 reported by the issuer
Ten largest
3.1%
of the whole fund
Effective number of holdings
928
As concentrated as this many equal-sized holdings (how it is worked out)
Largest holding
0.4%
DIGICEL INTERNATIONAL FINANCE LTD RegS 8.63% 01/08/2032

Map of the largest holdings

The 10 largest holdings of EMCA, together 3.1% 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.

DIGICEL INTERNATIONAL FINANCE LTD RegS 8.63% 01/08/2032 (DIGDIF): 0.37% of the fund · IndustrialDIGICEL INTERNATION…0.4%USD Cash (USD): 0.36% of the fund · Cash and derivativesUSD Cash0.4%Sands China Ltd 5.40% 08/08/2028 (SANLTD): 0.35% of the fund · IndustrialSands China Ltd 5…0.3%YPF SA RegS 8.25% 17/01/2034 (YPFDAR): 0.32% of the fund · AgencyYPF SA RegS 8.25%…0.3%Ecopetrol SA 8.88% 13/01/2033 (ECOPET): 0.31% of the fund · AgencyEcopetrol SA 8.88% 13/0…0.3%ORLEN SA RegS 6.00% 30/01/2035 (PKNPW): 0.29% of the fund · IndustrialORLEN SA RegS 6.00% 3…0.3%FREEPORT INDONESIA PT RegS 5.32% 14/04/2032 (FRIDPT): 0.28% of the fund · AgencyFREEPORT INDONESIA PT…0.3%Ecopetrol SA 6.88% 29/04/2030 (ECOPET): 0.26% of the fund · AgencyEcopetrol SA 6.88% 29/…0.3%FIRST QUANTUM MINERALS LTD RegS 6.38% 15/02/2036 (FMCN): 0.26% of the fund · IndustrialFIRST QUANTUM MINERAL…0.3%SAMARCO MINERACAO SA RegS 9.00% 30/06/2031 (SAMMIN): 0.26% of the fund · IndustrialSAMARCO MINERACAO SA…0.3%
  • Industrial 1.5%
  • Agency 1.2%
  • Cash and derivatives 0.4%

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

Source: iShares, holdings as published, as of

More:EMCA: key facts, returns and chargesCompare what it holds with another fundHoldings overlapHow overlap is measured

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