JPMorgan BetaBuilders Developed Asia Pacific ex-Japan ETF
BBAX
#432
ETF rank
HK$51.37 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
HK$481.30
Share price
0.16%
Change (1 day)
8.45%
Change (1 year)
Categories

JPMorgan BetaBuilders Developed Asia Pacific ex-Japan ETF - Holdings

Etf holdings as of October 2, 2026Number of holdings: 102

Full holdings list

Weight %NameTickerShares Held
10.09%
BHP GROUP LTD COMMONBHP15326901
8.16%
COMMONWEALTH BANK OFCBA5052038
5.68%
DBS GROUP HOLDINGS LTDDBSM.SI6145800
4.21%
AIA GROUP LTD COMMON129931085000
3.78%
NATIONAL AUSTRALIA BANKNAB9218678
3.77%
WESTPAC BANKING CORPWBC10301771
3.73%
OVERSEA-CHINESE BANKINGOCBC9830400
3.61%
ANZ GROUP HOLDINGS LTDANZ9048818
2.87%
MACQUARIE GROUP LTDMQG1096193
2.78%
WESFARMERS LTD COMMONWES3423648
2.72%
CSL LTD COMMON STOCK AUDCSL1457414
2.64%
HONG KONG EXCHANGES &3883599500
2.05%
UNITED OVERSEAS BANK LTDUOBH.SI3967700
1.98%
RIO TINTO LTD COMMONRIO1119965
1.91%
WOODSIDE ENERGY GROUPWDS5728546
1.63%
GOODMAN GROUP STAPLEDGMG5873041
1.50%
WOOLWORTHS GROUP LTDWOW3685529
1.32%
TRANSURBAN GROUP STAPLEDTCL9413624
1.26%
SINGAPOREST24757400
1.17%
WUXI BIOLOGICS CAYMAN226910961000
1.16%
ARISTOCRAT LEISURE LTDALL1817637
1.14%
QBE INSURANCE GROUP LTDQBE4507483
1.08%
TECHTRONIC INDUSTRIES CO6694311000
1.05%
NORTHERN STAR RESOURCESNST4176206
1.05%
CK HUTCHISON HOLDINGS18041000
0.99%
COLES GROUP LTD COMMONCOL4037939
0.86%
EVOLUTION MINING LTDEVN6121691
0.84%
SANTOS LTD COMMON STOCKSTO9289038
0.83%
FORTESCUE LTD COMMONFMG4783974
0.82%
BRAMBLES LTD COMMONBXB4068680
0.82%
SUN HUNG KAI PROPERTIES163987500
0.81%
CLP HOLDINGS LTD COMMON25465000
0.72%
SOUTH32 LTD COMMON STOCKS3213506444
0.70%
COMPUTERSHARE LTD COMMONCPU1650768
0.66%
FISHER & PAYKELFPH1664686
0.64%
SUNCORP GROUP LTD COMMONSUN3261753
0.62%
SINGAPORE EXCHANGE LTDSGX2473500
0.62%
SINGAPORE TECHNOLOGIESSTEG.SI4710700
0.61%
TELSTRA GROUP LTD COMMONTLS11865966
0.60%
ORIGIN ENERGY LTD COMMONORG5197544
0.60%
AUSTRALIAN DOLLAR56535699
0.58%
INSURANCE AUSTRALIAIAG7090557
0.57%
KEPPEL LTD COMMON STOCKKEP4271800
0.56%
SCENTRE GROUP REIT AUD 0SCG15659422
0.56%
LINK REIT HKD 08237841200
0.51%
CK ASSET HOLDINGS LTD11135656500
0.50%
JARDINE MATHESONJARD.SI593900
0.50%
SIGMA HEALTHCARE LTDSIG18040625
0.50%
CAPITALAND INTEGRATEDCICT18631077
0.48%
POWER ASSETS HOLDINGS64115500
0.45%
APA GROUP STAPLEDAPA3993772
0.45%
HONG KONG & CHINA GAS CO332930789
0.43%
BLUESCOPE STEEL LTDBSL1321966
0.40%
MEDIBANK PVT LTD COMMONMPL8308855
0.37%
WASHINGTON H SOULSOL765679
0.37%
GALAXY ENTERTAINMENT276242000
0.36%
ASX LTD COMMON STOCK AUDASX584035
0.35%
SINGAPORE AIRLINES LTDSIAL.SI4405800
0.35%
LOTTERY CORP LTD/THETLC6715174
0.34%
ZIJIN GOLD INTERNATIONAL22591211400
0.33%
CAPITALAND ASCENDAS REITCLAR12529228
0.33%
ORICA LTD COMMON STOCKORI1343440
0.33%
AUCKLAND INTERNATIONALAIA4631325
0.32%
STOCKLAND REIT AUD 0SGP7328958
0.31%
SINO BIOPHARMACEUTICAL117728502000
0.30%
WH GROUP LTD COMMON28823534691
0.29%
MTR CORP LTD COMMON664763000
0.28%
SONIC HEALTHCARE LTDSHL1443404
0.28%
PRO MEDICUS LTD COMMONPME166081
0.27%
GPT GROUP/THE REIT AUD 0GPT5773533
0.27%
VICINITY LTD REIT AUD 0VCX11143952
0.25%
REA GROUP LTD COMMONREA153859
0.25%
WILMAR INTERNATIONAL LTDWIL6064400
0.25%
HKT TRUST & LTD682310771000
0.25%
WHARF REAL ESTATE19974287000
0.24%
SGH LTD COMMON STOCK AUDSGH601680
0.23%
CK INFRASTRUCTURE10381848000
0.22%
SINO LAND CO LTD COMMON8311284000
0.21%
QANTAS AIRWAYS LTDQAN2237016
0.21%
WISETECH GLOBAL LTDWTC582253
0.20%
HENDERSON LAND124016700
0.20%
SWIRE PACIFIC LTD COMMON191024500
0.20%
CAPITALAND INVESTMENTCLI6637400
0.18%
MERIDIAN ENERGY LTDMEL3931492
0.18%
3SBIO INC USD15305695000
0.14%
SWIRE PROPERTIES LTD19722903600
0.14%
SANDS CHINA LTD COMMON19286128579
0.13%
GENTING SINGAPORE LTDGENS17190600
0.11%
WHARF HOLDINGS LTD/THE42880000
0.06%
SWIRE PACIFIC LTD COMMON872195000
0.06%
JARDINE CYCLE & CARRIAGEJCNC179000
0.06%
BUDWEISER BREWING CO18765114200
0.03%
AUD ETD COLL2413516
0.03%
AUD - FOR FUTURES2366038
0.01%
SINGAPORE DOLLAR949761
0.00%
CASH82028
0.00%
EURO1
0.00%
HONG KONG DOLLAR0
0.00%
NEW ZEALAND DOLLAR0
0.00%
SGD - FOR FUTURES-74008
0.00%
SPI 200 12/17/2026XPZ6 COMB Index180
-0.01%
MSCI SING IX 10/29/2026QZV6 COMB Index540