Fund Holdings as of,"30-Sep-26" Name,Weight (%) "TAIWAN SEMICONDUCTOR MANUFACTURING COMPANY LIMITED","9.77" "SAMSUNG ELECTRONICS CO LTD","8.97" "SK HYNIX INC","8.31" "TENCENT HOLDINGS LTD","4.67" "ASE TECHNOLOGY HOLDING CO LTD","3.92" "UNIMICRON TECHNOLOGY CORP","3.47" "MEDIATEK INC","3.16" "DB INSURANCE CO LTD","2.50" "CHINA PETROLEUM & CHEMICAL CORP","2.36" "EICHER MOTORS LTD","2.32"