Country exposure

MORO

6 funds with MORO exposure · weighted average allocation 3.5% · 161st largest country allocation

Funds
6
Avg weight
3.5%
rate
0%
ETF YTD
Country Signals · MORO Rule-based · derived from FMP & FE data
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Top MORO-exposed funds

Sorted by MORO weight · 6 funds total
Fund
Manager
MORO weight
1Y return
FT
FL T. Rowe Price Frontier Markets Equity Pn
GB00BVYPJ555
FL
7.8%
FM
Frontier Markets
LU0666199749
HSBC
3.3%
+25.5%
CS
Candriam Sustainable Bond Emerging Markets
LU1434519416
Candriam
3.1%
+10.2%
WO
Wellington Opportunistic Emerging Markets Debt Fund
IE000Y2AQ1N9
Wellington
2.2%
+11.2%
VE
Vanguard Emerging Markets Bond Fund
IE0004Q0MM73
Vanguard
2.2%
+14.7%
GS
Goldman Sachs Emerging Markets Corporate Bond Portfolio
LU0622305414
Goldman Sachs Asset Management
2.2%
+8.6%
Top MORO Holdings Across Funds
HALYK SAVINGS BANK OF KAZAKHSTAN (JSC)
Unknown
4.56%
in 1 funds
GEMADEPT CORP
Unknown
4.54%
in 1 funds
JOINT STOCK COMPANY NATIONAL ATOMIC COMPANY KAZATOMPROM
Unknown
4.33%
in 1 funds
HOA PHAT GROUP JSC
Unknown
3.99%
in 1 funds
SAUDI INDUSTRIAL SERVICES CO
Unknown
3.76%
in 1 funds
MOBILE WORLD INVESTMENT CORP
Unknown
3.14%
in 1 funds
ADNOC LOGISTICS & SERVICES PLC
Unknown
3.03%
in 1 funds
VIETNAM JS BK FOR INDUSTRY & TRADE
Unknown
2.99%
in 1 funds
Sector Breakdown (MORO ISINs)
Aggregated across all funds with MORO exposure
Financials
16.5%
Corporate Bonds
14.4%
Bonds Of States, Provinces And Municipalities
14.2%
Energy
5%
Consumer Discretionary
3.1%
Real Estate
2.8%
Materials
2.4%
Industrials
2%
Performance Chart
Top 5-fund composite (rebased to 100, equal-weighted) MORO ETF (benchmark) Real fund NAV data 2025-06-25 → 2026-05-29
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