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iShares MSCI South Korea ETF

Open-end / ETF
Registrant
iShares, Inc.
Class ticker
EWY
Net Assets
$24,140,622,305
Holdings
85
Latest Report
May 31, 2026

Net Assets Over Time

Holdings · 85

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Showing 1–50 of 85 holdings by value · page 1 of 2
Holding Balance Value % of Fund Open
SK hynix Inc.
4,783,859 $7,448,503,648 30.85%
Samsung Electronics Co., Ltd.
27,473,006 $5,763,661,630 23.88%
BlackRock Funds III: BlackRock Cash Funds: Institutional; SL Agency Shares
1,176,811,806 $1,177,164,850 4.88%
SAMSUNG ELECTRO-MECHANICS CO.,LTD
584,849 $826,734,107 3.42%
SK Square Co., Ltd.
896,447 $743,350,233 3.08%
HYUNDAI MOTOR COMPANY
1,227,953 $587,512,257 2.43%
KB Financial Group Inc.
3,361,585 $336,786,024 1.40%
HYUNDAI MOBIS CO.,LTD
576,477 $293,564,006 1.22%
DOOSAN ENERBILITY CO., LTD.
4,159,427 $291,736,016 1.21%
SAMSUNG SDI CO., LTD.
602,047 $274,987,060 1.14%
SHINHAN FINANCIAL GROUP CO.,LTD
4,009,949 $249,427,898 1.03%
HANWHA AEROSPACE CO., LTD.
314,117 $244,925,640 1.01%
KIA CORPORATION
2,181,407 $244,710,589 1.01%
SAMSUNG C&T CORPORATION
831,859 $239,894,537 0.99%
LG ELECTRONICS INC.
1,192,088 $232,426,747 0.96%
Samsung Life Insurance Co., Ltd.
844,306 $218,136,619 0.90%
NAVER Corporation
1,324,346 $205,258,105 0.85%
Hana Financial Group Inc.
2,632,113 $201,412,201 0.83%
POSCO Holdings Inc.
705,586 $198,747,319 0.82%
Celltrion, Inc.
1,476,899 $188,877,606 0.78%
SK Inc.
406,208 $182,854,920 0.76%
HD HYUNDAI HEAVY INDUSTRIES CO.,LTD.
373,625 $172,648,881 0.72%
HD HYUNDAI ELECTRIC CO., LTD.
234,176 $164,001,354 0.68%
Hyosung Heavy Industries Corporation
61,968 $151,898,985 0.63%
LG ENERGY SOLUTION, LTD.
482,725 $146,560,691 0.61%
LS ELECTRIC CO., LTD
898,849 $144,860,364 0.60%
SAMSUNG HEAVY INDUSTRIES CO.,LTD
7,188,386 $133,458,614 0.55%
Doosan Corporation
99,021 $129,929,572 0.54%
LG CHEM LTD
524,183 $127,703,661 0.53%
Woori Financial Group Inc.
6,452,866 $127,616,725 0.53%
HD KOREA SHIPBUILDING & OFFSHORE ENGINEERING CO., LTD.
445,915 $125,216,751 0.52%
KT&G Corporation
996,646 $121,735,976 0.50%
SAMSUNG FIRE & MARINE INSURANCE CO., LTD.
314,655 $118,743,880 0.49%
MIRAE ASSET SECURITIES CO.,LTD.
2,889,735 $118,313,134 0.49%
Hanwha Ocean Co., Ltd.
1,430,589 $117,130,476 0.49%
SAMSUNG SDS CO., LTD.
566,236 $112,674,490 0.47%
LG Corp.
1,148,595 $111,816,380 0.46%
HYUNDAI ROTEM COMPANY
817,435 $108,756,282 0.45%
SAMSUNG BIOLOGICS CO.,LTD.
117,916 $106,648,645 0.44%
Alteogen Inc
429,751 $105,118,352 0.44%
ECOPRO CO.,LTD
1,090,958 $100,819,458 0.42%
HANMI Semiconductor CO., LTD.
535,827 $100,647,675 0.42%
LIG Defense&Aerospace Co., Ltd
188,296 $100,083,010 0.41%
HYUNDAI ENGINEERING & CONSTRUCTION CO.,LTD
965,662 $94,321,614 0.39%
HD HYUNDAI CO.,LTD.
503,797 $92,805,701 0.38%
KOREA AEROSPACE INDUSTRIES, LTD.
814,795 $91,109,007 0.38%
Kakao Corp.
3,217,769 $89,544,681 0.37%
APR Co Ltd
335,397 $88,022,239 0.36%
SK TELECOM CO., LTD.
1,294,876 $86,716,930 0.36%
ECOPRO BM CO.,LTD.
591,899 $85,164,005 0.35%