MVR

Compare MVR · GAME · URNM · CLDD · ASIA

  • MVRbase
  • GAME
  • URNM
  • CLDD
  • ASIA

MVR, GAME, URNM, CLDD and ASIA hold at least 193 companies between them. None is in every one of them, and GAME and ASIA are the most alike: 8.2% of each is the same companies.

We can see through 96.7% of these funds to individual companies. The rest is cash, bonds, or a fund whose holdings we cannot see, so every figure here is a floor.

Return, last year

each fund starting at 100

Price only, last year, each fund starting at 100. No fund here paid a distribution in this window.

Side by side

 MVRGAMEURNMCLDDASIA
FundVanEckBetaSharesBetaSharesBetaSharesBetaShares
Asset classSector & thematicSector & thematicSector & thematicSector & thematicSector & thematic
Fee a year0.35%0.57%0.69%0.67%0.67%
Fund size$628.0m$36.0m$368.0m$33.0m$1.2b
Holdings3744484355
1Y price return+15.5%−0.8%only priced since 2026-09-24−18.6%+15.1%+44.7%
Distribution yield2.49%2.32%2.55%0.00%1.77%
Look-through coverage100.0%98.8%84.8%99.9%99.8%

Holdings, fund by fund

share of each fund
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  • Information Technology
  • Energy
  • Communication Services
  • Materials
  • Consumer Discretionary
  • Everything else
  • Funds we cannot open
  • Cash
  • KAPNAC KAZATOMPROM JSCIn 1 of 5MVRnot heldGAMEnot heldURNM16.1%CLDDnot heldASIAnot held
  • 000660SK HYNIX INCIn 1 of 5MVRnot heldGAMEnot heldURNMnot heldCLDDnot heldASIA14.8%
  • CCJCAMECO CORPIn 1 of 5MVRnot heldGAMEnot heldURNM14.8%CLDDnot heldASIAnot held
  • 005930Samsung Electronics Co LtdIn 1 of 5MVRnot heldGAMEnot heldURNMnot heldCLDDnot heldASIA11.2%
  • TSMTAIWAN SEMIC-ADRIn 1 of 5MVRnot heldGAMEnot heldURNMnot heldCLDDnot heldASIA9.6%
  • RBLXROBLOX CORP - AIn 1 of 5MVRnot heldGAME8.8%URNMnot heldCLDDnot heldASIAnot held
  • 7832Bandai Namco Holdings IncIn 1 of 5MVRnot heldGAME8.5%URNMnot heldCLDDnot heldASIAnot held
  • 2454MEDIATEK INCIn 1 of 5MVRnot heldGAMEnot heldURNMnot heldCLDDnot heldASIA8.5%
  • WDSWOODSIDE ENERGY GROUP LTDIn 1 of 5MVR8.1%GAMEnot heldURNMnot heldCLDDnot heldASIAnot held
  • BHPBHP GROUP LIMITEDIn 1 of 5MVR8.0%GAMEnot heldURNMnot heldCLDDnot heldASIAnot held

What each fund is in

MVR
GAME
URNM
CLDD
ASIA

Each figure is the company's weight inside that fund, so the funds are read against each other and nothing is added up. A company listed on two exchanges counts once in a fund. Each bar in the mix is one fund as 100% of itself. The striped colours are money we cannot see inside a company (cash, bonds, a fund we cannot open). Cash, bonds and funds we cannot open that come to under 1% of a bar are in Everything else.

What MVR already gives you

overlap
  • MVR and URNM share 1 company1.1%
    A floor, not a measurement: one of these funds is not fully resolved to individual companies.
  • MVR and ASIA share 0 companies0.0%
  • MVR and CLDD share 0 companies0.0%
  • MVR and GAME share 0 companies0.0%
    A floor, not a measurement: one of these funds is not fully resolved to individual companies.
  • GAME and ASIA share 3 companies8.2%
    A floor, not a measurement: one of these funds is not fully resolved to individual companies.
  • CLDD and ASIA share 1 company0.2%
Show the other 4
  • GAME and CLDD share 0 companies0.0%
    A floor, not a measurement: one of these funds is not fully resolved to individual companies.
  • GAME and URNM share 0 companies0.0%
    A floor, not a measurement: one of these funds is not fully resolved to individual companies.
  • URNM and ASIA share 0 companies0.0%
    A floor, not a measurement: one of these funds is not fully resolved to individual companies.
  • URNM and CLDD share 0 companies0.0%
    A floor, not a measurement: one of these funds is not fully resolved to individual companies.

Overlap is the smaller weight in every company both funds hold: the share of each fund the other already covers. Grouped by company, so a listing on two exchanges is one holding.

What each fund changed

most recent holdings update

Reading the holdings history…

Holdings are published monthly, so this is the last publication, not this week. A re-weight counts once it moves 0.25 points of the fund or more — below that, weights are just prices moving.