Roche Holding AG4.74%
Novartis AG4.72%
Royal Bank of Canada(RY)4.62%
Mitsubishi UFJ Financial Group Inc4.32%
Nestle SA3.51%
Hitachi Ltd3.14%
Schneider Electric SE3.06%
Sumitomo Mitsui Financial Group Inc2.68%
Sony Group Corp2.68%
SAP SE2.60%
Novo Nordisk A/S2.45%
AIA Group Ltd2.39%
Mitsubishi Corp2.11%
Reliance Industries Ltd2.03%
Sanofi SA2.01%
Brookfield Corp(BN)1.99%
BAE Systems PLC1.61%
Tokio Marine Holdings Inc1.42%
RELX PLC1.28%
Infosys Ltd1.25%
DSV A/S1.09%
Canadian National Railway Co(CNI)1.04%
London Stock Exchange Group PLC1.02%
Diageo PLC1.01%
Fujitsu Ltd0.95%
Deutsche Boerse AG0.94%
National Bank of Canada(NTIOF)0.92%
Franco-Nevada Corp(FNV)0.89%
Waste Connections Inc(WCN)0.84%
Assa Abloy AB0.79%
Alimentation Couche-Tard Inc0.77%
Murata Manufacturing Co Ltd0.74%
Dollarama Inc0.73%
UCB SA0.73%
Chugai Pharmaceutical Co Ltd0.72%
Sandoz Group AG0.69%
Seven & i Holdings Co Ltd0.68%
Intact Financial Corp0.64%
Sompo Holdings Inc0.64%
Givaudan SA0.62%
Sika AG0.61%
NTT Inc0.59%
Partners Group Holding AG0.58%
Fortis Inc/Canada(FTS)0.53%
Ashtead Group PLC0.53%
Northern Star Resources Ltd0.52%
Sumitomo Realty & Development Co Ltd0.51%
Loblaw Cos Ltd(LBLCF)0.50%
TDK Corp0.49%
FUJIFILM Holdings Corp0.49%
Bank Central Asia Tbk PT0.48%
Geberit AG0.48%
Hexagon AB0.47%
Hindustan Unilever Ltd0.46%
Restaurant Brands International Inc(QSR)0.43%
Wolters Kluwer NV0.43%
Kweichow Moutai Co Ltd0.40%
Terumo Corp0.38%
Brookfield Asset Management Ltd(BAM)0.37%
America Movil SAB de CV0.37%
Kao Corp0.37%
Halma PLC0.36%
Shionogi & Co Ltd0.33%
Asahi Group Holdings Ltd0.31%
Pan Pacific International Holdings Corp0.31%
Imperial Oil Ltd(IMO)0.31%
Chocoladefabriken Lindt & Spruengli AG0.30%
Nitto Denko Corp0.30%
Chocoladefabriken Lindt & Spruengli AG0.30%
Sekisui House Ltd0.29%
Kerry Group PLC0.28%
Fisher & Paykel Healthcare Corp Ltd0.27%
Nomura Research Institute Ltd0.26%
Wistron Corp0.26%
Metro Inc/CN(MTRAF)0.25%
Sage Group PLC/The0.25%
Hydro One Ltd0.25%
Computershare Ltd0.24%
Logitech International SA0.24%
Stantec Inc(STN)0.22%
Symrise AG0.22%
George Weston Ltd(WNGRF)0.22%
ITC Ltd0.21%
Toromont Industries Ltd(TMTNF)0.21%
TMX Group Ltd(TMXXF)0.20%
Coloplast A/S0.20%
Roche Holding AG0.20%
Diploma PLC0.19%
Chiba Bank Ltd/The0.19%
Washington H Soul Pattinson & Co Ltd0.19%
Evolution AB0.19%
PSP Swiss Property AG0.18%
Obic Co Ltd0.18%
Bunzl PLC0.18%
CCL Industries Inc(CCDBF)0.17%
Capcom Co Ltd0.17%
Finning International Inc(FINGF)0.16%
TFI International Inc(TFII)0.16%
Hulic Co Ltd0.16%
Sonic Healthcare Ltd0.16%
Unicharm Corp0.15%
Lifco AB0.15%
Brenntag SE0.15%
Saputo Inc(SAPIF)0.15%
Spirax Group PLC0.15%
Elia Group SA/NV0.14%
CAR Group Ltd0.14%
Pro Medicus Ltd0.14%
Persistent Systems Ltd0.14%
Nippon Sanso Holdings Corp0.13%
Hikari Tsushin Inc0.13%
Open Text Corp(OTEX)0.13%
FirstService Corp(FSV)0.13%
MEIJI Holdings Co Ltd0.12%
Recordati Industria Chimica e Farmaceutica SpA0.12%
TIS Inc0.12%
Sony Financial Group Inc0.11%
Nemetschek SE0.11%
Kurita Water Industries Ltd0.11%
Technology One Ltd0.10%
DCC PLC0.10%
Croda International PLC0.10%
AAK AB0.10%
Buzzi SpA0.10%
Tokyo Tatemono Co Ltd0.10%
Temenos AG0.10%
Lotus Bakeries NV0.10%
Pidilite Industries Ltd0.09%
Yakult Honsha Co Ltd0.09%
Interpump Group SpA0.09%
Wuliangye Yibin Co Ltd0.09%
Siegfried Holding AG0.09%
BOYD GROUP INC(BGSI)0.09%
Sofina SA0.09%
CGN Power Co Ltd0.09%
Empire Co Ltd(EMLAF)0.08%
Bechtle AG0.08%
Drax Group PLC0.08%
Lotes Co Ltd0.08%
Azbil Corp0.08%
Steadfast Group Ltd0.08%
Mphasis Ltd0.08%
NAURA Technology Group Co Ltd0.08%
Cranswick PLC0.08%
Sundaram Finance Ltd0.08%
Kyowa Kirin Co Ltd0.08%
Kandenko Co Ltd0.07%
Stella-Jones Inc(STLJF)0.07%
Kobe Bussan Co Ltd0.07%
Nomura Real Estate Holdings Inc0.07%
Air Water Inc0.07%
Open House Group Co Ltd0.07%
Huhtamaki Oyj0.07%
Yamaguchi Financial Group Inc0.07%
Hikma Pharmaceuticals PLC0.07%
MonotaRO Co Ltd0.07%
EXEO Group Inc0.06%
EBOS Group Ltd0.06%
Nisshin Seifun Group Inc0.06%
Lion Corp0.06%
Rinnai Corp0.06%
TOMRA Systems ASA0.06%
Nichias Corp0.06%
FUCHS SE0.06%
Alfresa Holdings Corp0.06%
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.06%
Wihlborgs Fastigheter AB0.06%
Premium Brands Holdings Corp(PRBZF)0.06%
Hisamitsu Pharmaceutical Co Inc0.05%
KEI Industries Ltd0.05%
Organo Corp0.05%
DKSH Holding AG0.05%
Softcat PLC0.05%
GMO Payment Gateway Inc0.05%
Maruwa Co Ltd/Aichi0.05%
Tokyo Century Corp0.05%
AUB Group Ltd0.05%
Catena AB0.05%
Grupo de Inversiones Suramericana SA0.05%
Oracle Corp Japan0.05%
Tecan Group AG0.04%
Emmi AG0.04%
Nippon Gas Co Ltd0.04%
Tata Elxsi Ltd0.04%
Goldwin Inc0.04%
Luzhou Laojiao Co Ltd0.04%
China National Nuclear Power Co Ltd0.04%
Bravida Holding AB0.04%
PPB Group Bhd0.04%
DiaSorin SpA0.04%
Fuyo General Lease Co Ltd0.04%
Zenkoku Hosho Co Ltd0.04%
Badger Infrastructure Solutions Ltd(BDGIF)0.04%
Kusuri no Aoki Holdings Co Ltd0.04%
Kobayashi Pharmaceutical Co Ltd0.04%
Chemring Group PLC0.04%
Sundrug Co Ltd0.04%
New Issuer: BB Company ID:1832060.03%
Mouwasat Medical Services Co0.03%
Summerset Group Holdings Ltd0.03%
Sinbon Electronics Co Ltd0.03%
Blue Zones Holdings Co Ltd0.03%
SHO-BOND Holdings Co Ltd0.03%
Takeuchi Manufacturing Co Ltd0.03%
Shandong Weigao Group Medical Polymer Co Ltd0.03%
Clarkson PLC0.03%
Japan Elevator Service Holdings Co Ltd0.03%
Berger Paints India Ltd0.03%
Mizuho Leasing Co Ltd0.03%
ALSO Holding AG0.03%
Nojima Corp0.03%
Maple Leaf Foods Inc(MLFNF)0.03%
Ship Healthcare Holdings Inc0.03%
Kato Sangyo Co Ltd0.03%
Morinaga & Co Ltd/Japan0.03%
ZF Commercial Vehicle Control Systems India Ltd0.03%
Pilot Corp0.02%
Kissei Pharmaceutical Co Ltd0.02%
goeasy Ltd(EHMEF)0.02%
Dentsu Soken Inc0.02%
TS Tech Co Ltd0.02%
Zhangzhou Pientzehuang Pharmaceutical Co Ltd0.02%
DTS Corp0.02%
Fujimi Inc0.02%
Nextage Co Ltd0.02%
Jamieson Wellness Inc0.02%
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.02%
Valor Holdings Co Ltd0.02%
CRISIL Ltd0.02%
Atoss Software SE0.02%
Savaria Corp0.02%
Hogy Medical Co Ltd0.02%
FUCHS SE0.02%
Takara Standard Co Ltd0.02%
Maruzen Showa Unyu Co Ltd0.02%
Raito Kogyo Co Ltd0.02%
JCU Corp0.02%
Okinawa Cellular Telephone Co0.02%
Rakus Co Ltd0.02%
N/A(MFSH6)0.02%
PALTAC Corp0.02%
Honeywell Automation India Ltd0.02%
TKC Corp0.02%
StorageVault Canada Inc0.02%
Mani Inc0.02%
Totech Corp0.02%
Yokogawa Bridge Holdings Corp0.02%
Grindwell Norton Ltd0.02%
Nomura Micro Science Co Ltd0.01%
Yellow Hat Ltd0.01%
SMS Co Ltd0.01%
China Overseas Property Holdings Ltd0.01%
Heiwa Real Estate Co Ltd0.01%
Matsuda Sangyo Co Ltd0.01%
ADENTRA Inc0.01%
Komeri Co Ltd0.01%
Kohnan Shoji Co Ltd0.01%
MCJ Co Ltd0.01%
Svolder AB0.01%
Tokyo Steel Manufacturing Co Ltd0.01%
Create SD Holdings Co Ltd0.01%
Cewe Stiftung & Co KGAA0.01%
Tsurumi Manufacturing Co Ltd0.01%
Enghouse Systems Ltd(EGHSF)0.01%
Funai Soken Holdings Inc0.01%
JCHX Mining Management Co Ltd0.01%
Hilton Food Group PLC0.01%
Senshu Electric Co Ltd0.01%
Future Corp0.01%
Keihanshin Building Co Ltd0.01%
Osaka Organic Chemical Industry Ltd0.01%
Revenio Group Oyj0.01%
Kirloskar Pneumatic Co Ltd0.01%
Zuken Inc0.01%