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Matthews India Active ETF (INDE) is an ETF managed by Independent / Boutique. Its largest position is HDFC BANK LTD (HDB), representing 6.91% of fund assets.

Matthews India Active ETF Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
INDE
Type:
ETF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 21, 2026
Showing 50 out of 71 holdings
Holding Weight Market Value Shares
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HDFC BANK LTD
6.91% $821,059.04 106,454
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ETERNAL LTD.
6.59% $783,283.67 324,454
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ICICI BANK LTD
5.26% $625,525.17 49,200
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THANGAMAYIL JEWELLERY LTD.
5.01% $596,226.43 16,507
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RELIANCE INDUSTRIES LIMITED
3.72% $442,876.50 31,257
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STATE BANK OF INDIA
3.61% $429,547.68 41,599
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BAJAJ FINANCE LTD.
3.41% $405,757.82 48,014
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SHRIRAM FINANCE LTD
3.38% $402,329.81 43,757
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APPLIED MATERIALS INC /DE
3.35% $398,127.82 21,186
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AXIS BANK LTD.
2.69% $319,340.28 26,082
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APPLIED MATERIALS INC /DE
2.48% $295,286.98 9,479
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Mercator Acquisition Corp.
2.48% $295,252.91 38,052
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NEULAND LABORITIE
2.33% $277,315.72 2,187
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SWIGGY LTD.
2.24% $265,937.19 96,996
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HINDUSTAN UNILEVER LIMITED
2.18% $259,498.15 11,976
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Infosys Ltd
2.06% $245,323.88 18,606
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CHOLAMANDALAM INVESTMENT & FINANCE CO LTD.
1.68% $199,944.07 13,999
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TATA CONSUMER PRODUCTS LIMITED
1.63% $194,264.27 18,157
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MAX FINANCIAL SERVICES LIMITED
1.55% $184,654.35 11,749
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TVS MOTOR COMPANY LIMITED
1.51% $178,955.81 5,046
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STAR HEALTH & ALLIED INSURANCE CO LTD.
1.50% $178,752.94 37,059
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KIMBERLY CLARK CORP
1.47% $175,312.56 47,052
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CAMPUS ACTIVEWEAR LTD
1.46% $173,261.80 75,091
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AVALON TECHNOLOGIES LTD.
1.32% $156,661.38 16,012
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THERMAX LTD.
1.30% $154,356.73 4,490
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ULTRATECH CEMENT LTD.
1.26% $149,763.60 1,322
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LENSKART SOLUTIONS LTD
1.09% $129,609.14 24,621
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PERSISTENT SYSTEMS LTD.
1.09% $129,220.51 2,513
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METROPOLIS HEALTHCARE LTD
1.06% $125,575.68 27,444
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CUMMINS INDIA LTD.
1.02% $121,506.67 2,561
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MARUTI SUZUKI INDIA LTD.
1.01% $120,401.88 928
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ServiceTitan, Inc.
0.99% $118,147.79 2,836
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Eaton Vance Municipal Bond Fund
0.99% $117,278.87 1,689
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INTERGLOBE AVIATION LIMITED
0.90% $107,517.40 2,586
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AMRUTANJAN HEALTH CARE LTD.
0.84% $99,865.90 19,188
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DELHIVERY LTD.
0.82% $97,162.45 22,116
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GODREJ CONSUMER PRODUCTS LTD.
0.81% $96,851.19 9,328
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CANARA HSBC LIFE INSURANCE CO LTD.
0.79% $93,549.42 63,086
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AUTOMOTIVE AXLES
0.76% $90,298.98 5,536
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FEDERAL BANK LTD.
0.76% $90,037.74 32,922
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LATAM AIRLINES GROUP S.A.
0.72% $86,201.56 2,037
-
INVENTURUS KNOWLEDGE SOLUTIONS LTD
0.70% $83,598.57 5,969
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COFORGE LIMITED
0.70% $83,430.25 7,099
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VARUN BEVERAGES LTD
0.66% $78,793.17 19,457
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SUN PHARMACEUTICAL INDUSTRIES LIMITED
0.62% $74,216.51 4,006
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AURIONPRO SOLUTIONS LTD.
0.59% $70,194.06 9,187
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ITC LTD.
0.59% $69,995.28 23,076
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AETHER INDUSTRIES LTD
0.58% $69,132.69 5,991
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SYRMA SGS TECHNOLOGY LTD.
0.56% $67,032.77 8,224
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JP MORGAN US GOVT CAPITAL
0.56% $66,480.29 66,480
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