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iShares MSCI China ETF

Ticker: MCHI ISIN: US46429B6719
Add to portfolio Portfolio analysis in 2min
ETF Broad market exposure Concentrated top holdings
Morningstar
★★★
TER
0.59%
Fund size
$8.25B
Holdings
562
Top 10
50.0%
Issuer
iShares
$54.93 -1.31%
Price as of 2026-08-24 · NASDAQ

Performance by timeframe

Rolling returns
1 Month +1.23%
6 Months -8.50%
1 Year -9.05%
5 Years -2.24% p.a.-10.72%
10 Years +3.48% p.a.+40.78%
Since inception +2.43% p.a.+44.66%
Calendar year returns
YTD -7.95%
2025 +31.04%
2024 +17.73%
2023 -11.29%
2022 -22.76%
2021 -21.74%

Key stats

AUM
8.25B
Expense ratio
0.59%
Holdings
562
1Y return
-9.05%
Volatility (1Y)
20.22%
52-week range
43.27 - 65.95
Section 1

Fund overview

Fund profile data from fundamentals.

The fund generally will invest at least 80% of its assets in the component securities of the underlying index and in investments that have economic characteristics that are substantially identical to the component securities of the underlying index. The index is a free float-adjusted market capitalization-weighted index that is designed to measure the performance of equity securities in the top 85% in market capitalization of the Chinese equity securities markets, as represented by the H-shares and B-shares markets. The fund is non-diversified.

Category China Region
Issuer iShares
Domicile USA
Section 2

Exposure breakdown

Exposure breakdown shows how the fund is allocated across assets, sectors, regions, and size buckets.

Asset allocation

Stock non-US
98.49%
Stock US
1.44%
Cash
0.07%

Sectors

Consumer Cyclicals
28.07%
Communication Services
23.89%
Financial Services
17.03%
Technology
8.79%
Healthcare
5.74%
Industrials
3.93%
Consumer Defensive
3.40%
Basic Materials
3.34%

Regions

Asia Emerging
97.21%
North America
1.45%
Asia Developed
1.34%

Market cap mix

Mega
72.08%
Big
21.67%
Medium
2.18%
Small
0.09%
Section 3

Top holdings

Concentrated top holdings

Top holdings show which underlying securities drive the fund most.

Tencent Holdings Ltd
17.93%
Alibaba Group Holding Ltd
12.70%
Xiaomi Corp
4.38%
PDD HOLDINGS ADS INC
3.11%
China Construction Bank Corp
3.02%
Meituan
2.19%
NetEase Inc
1.75%
BYD Company Limited
1.71%
Trip.com Group Ltd
1.60%
Industrial and Commercial Bank of China
1.59%
Section 4

Performance & risk

Historical return and risk indicators over fixed windows.

Returns

YTD return 37.80%
1M return 1.23%
6M return -8.50%
1Y return -9.05%
3Y return 12.26%
5Y return -10.72%
10Y return 5.54%

Risk

Volatility (1Y) 20.22%
Volatility (3Y) 32.51%
Sharpe ratio (3Y) 0.30
Beta 1.42
52-week range 43.27 - 65.95
Section 5

Portfolio characteristics

Broad diversification

Fund concentration and composition metrics from source fields.

Overview

Holdings count 562
Top 10 weight 49.97%
Expense ratio 0.59%
Fund size 8.25B
Turnover 13.00%
Avg. market cap 92.76K

Details

Instrument metadata and source update timestamps.

Symbol MCHI
Name iShares MSCI China ETF
Asset type ETF
Exchange NASDAQ
Currency USD
ISIN US46429B6719
Country USA
Code + exchange MCHI.NASDAQ
Last price date 2025-09-29
Fundamentals updated 2025-09-29

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