Wasatch Emerging Markets Small Cap Fund (WIEMX) is an MF managed by Independent / Boutique. Its largest position is CHROMA ATE INC (2360), representing 6.11% of fund assets.
Wasatch Emerging Markets Small Cap Fund Portfolio Holdings
Source: SEC Form N-PORT institutional portfolio disclosures
- Ticker:
- WIEMX
- Type:
- MF
- Manager:
- Independent / Boutique
- Total Assets:
- —
- Report Date:
- Mar 31, 2026
- Filing Date:
- May 5, 2026
| Holding | Weight | Market Value | Shares |
|---|---|---|---|
|
-
CHROMA ATE INC
|
6.11% | $5,814,942.66 | 121,184 |
|
-
ASPEED TECHNOLOGY INC
|
4.84% | $4,605,464.90 | 13,361 |
|
-
ACCTON TECHNOLOGY CORPORATION
|
3.94% | $3,750,214.41 | 76,012 |
|
-
ANJI MICROELECTRONICS TECHNOLOGY (SHANGHAI) CO LTD
|
3.73% | $3,554,112.40 | 96,745 |
|
-
AU SMALL FINANCE BANK LTD.
|
3.66% | $3,486,477.91 | 389,372 |
|
-
DISCOVERY LIMITED
|
3.33% | $3,164,519.94 | 215,657 |
|
-
UNITED INTEGRATED SERVICES CO LTD
|
3.24% | $3,081,725.17 | 116,016 |
|
-
ELECTRICAL INDUSTRIES CO
|
2.95% | $2,809,736.89 | 623,480 |
|
-
Inter & Co, Inc.
|
2.94% | $2,798,322.08 | 351,548 |
|
-
BENEFIT SYSTEMS SA
|
2.93% | $2,790,743.43 | 2,944 |
|
-
CHOLAMANDALAM FINANCIAL HOLDINGS LTD
|
2.90% | $2,759,312.02 | 190,144 |
|
-
RASAN INFORMATION TECHNOLOGY CO
|
2.86% | $2,722,081.37 | 75,014 |
|
-
GRUPO AEROPORTUARIO DEL CENTRO NORTE SAB DE CV
|
2.51% | $2,388,325.75 | 166,625 |
|
-
AURAS TECHNOLOGY CO LTD
|
2.48% | $2,360,021.30 | 82,000 |
|
-
JIANGSU SHEMAR ELECTRIC CO LTD
|
2.41% | $2,294,895.92 | 283,100 |
|
-
LION FINANCE GROUP PLC
|
2.27% | $2,160,549.74 | 17,407 |
|
-
BIZLINK HOLDING INC.
|
2.26% | $2,149,115.38 | 37,427 |
|
-
Fabrinet
|
2.25% | $2,142,404.16 | 4,108 |
|
-
MAX HEALTHCARE INSTITUTE LTD.
|
2.03% | $1,927,751.56 | 187,875 |
|
-
DIAGNOSTYKA SA
|
2.00% | $1,906,965.62 | 41,261 |
|
-
LIG NEX1 CO LTD
|
1.95% | $1,853,625.99 | 4,492 |
|
-
BBB FOODS INC
|
1.86% | $1,767,120.57 | 49,961 |
|
-
ACUTAAS CHEMICALS LTD.
|
1.86% | $1,766,105.33 | 64,801 |
|
-
ASIA VITAL COMPONENTS COMPANY LTD
|
1.80% | $1,717,285.72 | 26,000 |
|
-
TD POWER SYSTEMS LTD
|
1.65% | $1,569,790.32 | 172,934 |
|
-
OPTIMA BANK SA
|
1.57% | $1,498,339.34 | 152,049 |
|
-
KRN HEAT EXCHANGER AND REFRIGERATION LTD
|
1.53% | $1,451,228.84 | 158,469 |
|
-
KFIN TECHNOLOGIES LTD
|
1.51% | $1,440,754.96 | 153,563 |
|
-
POLYCAB INDIA LIMITED
|
1.48% | $1,404,259.33 | 19,191 |
|
-
JENTECH PRECISION INDUSTRIAL CO LTD
|
1.47% | $1,397,082.31 | 11,111 |
|
-
COMMERCIAL INTERNATIONAL BANK - EGYPT (CIB)
|
1.37% | $1,300,344.73 | 585,423 |
|
-
CENERGY HOLDINGS SA
|
1.31% | $1,243,638.79 | 56,542 |
|
-
SHANGHAI BOCHU ELECTRONIC TECHNOLOGY CO LTD
|
1.26% | $1,195,093.27 | 63,140 |
|
-
LEENO INDUSTRIAL INC
|
1.24% | $1,181,142.40 | 18,125 |
|
-
QUALITAS CONTROLADORA SAB DE CV
|
1.23% | $1,169,569.80 | 121,852 |
|
-
THEON INTERNATIONAL PLC
|
1.17% | $1,110,927.89 | 30,732 |
|
-
PRUDENT CORPORATE ADVISORY SERVICES LTD
|
1.00% | $954,192.07 | 41,611 |
|
-
VIJAYA DIAGNOSTIC CENTRE LTD
|
0.96% | $916,230.84 | 99,915 |
|
-
SHENZHEN ENVICOOL TECHNOLOGY CO LTD.
|
0.95% | $899,844.33 | 72,230 |
|
-
PARK SYSTEMS CORP
|
0.92% | $873,897.69 | 5,513 |
|
-
MILITARY COMMERCIAL JOINT STOCK BANK
|
0.86% | $822,635.25 | 812,900 |
|
-
CONSUN PHARMACEUTICAL GROUP LTD
|
0.85% | $806,495.39 | 378,000 |
|
-
TBC BANK GROUP PLC
|
0.81% | $769,916.00 | 14,102 |
|
-
KRI-KRI MILK INDUSTRY SA
|
0.75% | $713,319.74 | 28,665 |
|
-
FPT DIGITAL RETAIL JSC
|
0.64% | $607,914.97 | 102,000 |
|
-
AETHER INDUSTRIES LTD
|
0.64% | $606,299.08 | 51,722 |
|
-
NOVA LTD.
|
0.62% | $588,883.68 | 1,356 |
|
-
ELGI EQUIPMENTS LTD
|
0.60% | $575,343.35 | 115,128 |
|
-
ADITYA VISION LTD
|
0.59% | $560,420.23 | 111,180 |
|
-
CAMTEK LTD/ISRAEL
|
0.57% | $540,186.43 | 3,563 |
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