MCHI Holdings Information
Last updated: September 7, 2026
Holdings Count
579Total Assets
6.29BTop 10 Percentage
41.27%Asset Class
EquityCategory
Size And StyleRegion
Asia-PacificTop Holdings
579 Holdings as of Sep 07, 2026
Sector Breakdown
Consumer Cyclical
26.20%Communication Services
21.53%Financial
20.95%Technology
7.30%Healthcare
6.36%Basic Materials
4.06%Energy
3.70%Industrials
2.46%General
2.23%Consumer Defensive
2.19%Real Estate
1.74%Utilities
1.13%Countries Breakdown
Hong Kong
79.32%China
17.14%United States
3.54%Breakdown By Smart Score
The weighted average smart score of the MCHI ETF is 7
10
46.39%9
19.88%8
2.27%7
16.43%6
7.54%5
4.39%4
2.38%3
0.21%2
0.51%1
0.00%MCHI ETF News
MCHI ETF FAQ
What are ETF MCHI’s top 3 holdings?
MCHI’s top 3 holdings are HK:0700, HK:9988, HK:0939.
What is MCHI’s holding count?
ETF MCHI’s is holdings 579 different assets.
What are the total assets of ETF MCHI?
ETF MCHI’s total assets are 6.29B.
What sector is MCHI most exposed to?
MCHI is most exposed to 26.20% Consumer Cyclical of its holdings.
How concentrated is MCHI?
MCHI’s top 10 holdings represent 41.27% of the fund.
What is MCHI’s average Smart Score?
The weighted average Smart Score of MCHI is 7.







