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iShares Emerging Markets Equity Index Fund
iShares Emerging Markets Equity Index Fund
BlackRock Investment Management (UK) Ltd.
iShares Emerging Markets Equity Index Fund
Regional Portfolio Structure(Semi-Annual Comparison)
Sectorial Portfolio Structure(Semi-Annual Comparison)
Price
 
Ranking
Sector: Global-Equity-General
Size: (USD) 375 990 000
 
Sector Rank: 59 out of 159
(lump sum over 3 years to 31 Jan 2026)
 
Overall Rank: 114 out of 502
(lump sum over 3 years to 31 Jan 2026)
 
R20000 invested on 31 Jan 2023 was worth R29 058 at 31 Jan 2026
(13.26% annual compound return)
 
R5000 per month since 31 Jan 2023 was worth R231 933 at 31 Jan 2026
(15.94% annual return compounded monthly)
 
Please note that offshore fund performance figures are calculated from NAV prices (ie, equivalent to sell-to-sell) and therefore not directly comparable to domestic fund performance figures on this site.
 
Focus and Objective
The Fund aims to achieve a return on your investment, through a combination of capital growth and income on the Fund's assets, which reflects the return of the MSCI Emerging Markets Index, the Fund's benchmark index. The Fund invests as far as possible and practicable in equity securities that make up the Fund's benchmark index.
 
Technical Overview
Benchmark: MSCI EM (EMERGING MARKETS) Net ( custom 4pm LUX )
Base currency: USD Pricing system: Forward
Formation date: 16 Nov 2012
 
Top holdings on 30 Sep 2025
Share (Sector) Value (USD) % of fund
TAIWANSEMICON (Technology) 40 945 311 10.89%
TENCENT (Cyclical Goods & Services) 21 205 836 5.64%
ALIBABA (Consumer Services) 15 152 397 4.03%
SAMSUNG (Goods & Services) 10 978 908 2.92%
SKHYNIXINC (Technology) 5 263 860 1.40%
HDFCBANK (Banks) 4 699 875 1.25%
XIAOMI (Technology) 4 624 677 1.23%
CHINACONSTRUC (Banks) 3 647 103 0.97%
RELIANCEINDUS (Chemicals) 3 647 103 0.97%
TOTALS 110 165 070 29.30%

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