ETF:RINT | ETF Holdings Page 4 | Russell Investments International Developed Equity ETF

Companies included in RINT Page 4

This is RINT's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 301–334 of 334.

TickerIssuerShares ownedUnitReported weight
MS&AD Insurance Group Holdings IncMS&AD Insurance Group Holdings Inc5,000NS0.108878%
SoftBank CorpSoftBank Corp95,200NS0.108536%
Bank Hapoalim BMBank Hapoalim BM5,428NS0.108487%
Persol Holdings Co LtdPersol Holdings Co Ltd85,900NS0.107166%
ICG PLCICG PLC6,192NS0.106776%
MDTMedtronic PLC1,434NS0.106502%
Old Mutual LtdOld Mutual Ltd151,935NS0.106205%
Russell Investments Trust Company Commingled Employee Benefit Funds Trust-U.S. Cash Management FundRussell Investments Trust Company Commingled Employee Benefit Funds Trust-U.S. Cash Management Fund120,421.69NS0.103195%
Epiroc ABEpiroc AB5,579NS0.101126%
Raiffeisen Bank International AGRaiffeisen Bank International AG2,754NS0.099204%
Orkla ASAOrkla ASA8,836NS0.095188%
Yamato Holdings Co LtdYamato Holdings Co Ltd10,000NS0.094215%
Aumovio SEAumovio SE2,783NS0.092143%
AP Moller - Maersk A/SAP Moller - Maersk A/S43NS0.091525%
Ayvens SAAyvens SA9,156NS0.09089%
Obayashi CorpObayashi Corp4,400NS0.089254%
Mondi PLCMondi PLC9,248NS0.088508%
Tele2 ABTele2 AB4,997NS0.088043%
Proximus SADPProximus SADP12,406NS0.086034%
Mapfre SAMapfre SA22,749NS0.085958%
H Lundbeck A/SH Lundbeck A/S16,024NS0.084762%
Wise PLCWise PLC8,179NS0.083789%
Alfresa Holdings CorpAlfresa Holdings Corp6,100NS0.083283%
Henkel AG & Co KGaAHenkel AG & Co KGaA1,342NS0.082164%
Kajima CorpKajima Corp2,500NS0.079755%
Valeo SEValeo SE7,770NS0.079518%
Haier Smart Home Co LtdHaier Smart Home Co Ltd34,400NS0.077912%
Sumitomo Metal Mining Co LtdSumitomo Metal Mining Co Ltd1,600NS0.076517%
Isuzu Motors LtdIsuzu Motors Ltd6,300NS0.075568%
MELIMercadoLibre Inc48NS0.071135%
James Hardie Industries PLCJames Hardie Industries PLC4,180NS0.064517%
Boliden ABBoliden AB1,358NS0.059719%
Obic Co LtdObic Co Ltd2,100NS0.043687%
Bank of America NABank of America NA1NC0.000306%

SEC N-PORT snapshot as of .

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