Skip to main content

KraneShares Wahed Alternative Income Index ETF

Open-end / ETF
Registrant
Krane Shares Trust
Class ticker
Net Assets
$56,355,926
Holdings
311
Latest Report
Jun 30, 2026

Net Assets Over Time

Holdings · 311

Export CSV
Showing 1–50 of 311 holdings by value · page 1 of 7
Holding Balance Value % of Fund Open
ADVANCED MICRO DEVICES, INC.
10,200 $5,925,282 10.51%
FORTINET, INC.
30,500 $4,685,410 8.31%
ARISTA NETWORKS, INC.
17,100 $2,904,948 5.15%
AUTOZONE, INC.
700 $2,237,158 3.97%
AMAZON.COM, INC.
9,300 $2,216,562 3.93%
2BSX 07/17/2026
222 $492,412 0.87%
2LULU 07/17/2026
100 $454,757 0.81%
2ISRG 07/17/2026
36 $259,235 0.46%
2TTD 07/17/2026
556 $248,526 0.44%
2ADBE 07/17/2026
67 $234,023 0.42%
AUTODESK, INC.
1,200 $233,304 0.41%
2AZO 07/17/2026
6 $184,649 0.33%
2AMZN 07/17/2026
85 $119,490 0.21%
2ORLY 07/17/2026
216 $78,855 0.14%
2SMCI 07/17/2026
575 $65,602 0.12%
2UBER 07/17/2026
233 $54,652 0.10%
2SMCI 07/17/2026
50 $53,600 0.10%
2WDAY 07/17/2026
108 $49,797 0.09%
2SNDK 10/16/2026
1 $46,350 0.08%
2ON 07/17/2026
17 $43,828 0.08%
2ANET 07/17/2026
153 $37,337 0.07%
2BSX 07/17/2026
15 $30,282 0.05%
2SNPS 07/17/2026
37 $28,921 0.05%
2ADBE 07/17/2026
6 $26,780 0.05%
2CRWD 10/16/2026
4 $24,984 0.04%
2AMD 10/16/2026
4 $23,502 0.04%
2NOW 07/17/2026
155 $20,827 0.04%