Country exposure

OMAN +0.00pp 7D

10 funds with OMAN exposure · weighted average allocation 21.4% · 119th largest country allocation

Funds
10
Avg weight
21.4%
rate
0%
ETF YTD
Country Signals · OMAN Rule-based · derived from FMP & FE data
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Top OMAN-exposed funds

Sorted by OMAN weight · 10 funds total
Fund
Manager
OMAN weight
1Y return
GS
Goldman Sachs Romania RON Bond
LU1041501872
Goldman Sachs Asset Management
96.5%
+3.9%
GS
Goldman Sachs Romania Equity
LU1041502920
Goldman Sachs Asset Management
54%
+56.5%
DL
DPAM L Bonds Emerging Markets Hard Currency Sustainable
LU2463509146
Degroof Petercam Asset Management
10.5%
+5%
GS
Goldman Sachs Central Europe Equity
LU1086912471
Goldman Sachs Asset Management
9.7%
+36.7%
GD
Global Dynamic Bond Fund
IE0004F6CNR0
Nomura Asset Management UK
9.5%
-6.9%
FT
FL T. Rowe Price Frontier Markets Equity Pn
GB00BVYPJ555
FL
9%
CS
Candriam Sustainable Bond Emerging Markets
LU1434519416
Candriam
7.4%
+4%
L&
Legal & General Emerging Markets Government Bond (US$) Index Fund
GB00B8H7CC57
Legal & General
6.1%
+2.9%
IE
Invesco Emerging Markets Local Debt Fund
LU2014293232
Invesco
5.8%
+6.6%
GE
Global Emerging Markets ESG Bond
LU2410360817
HSBC
5.5%
Top OMAN Holdings Across Funds
MEXICAN BONOS
Unknown
10.9%
in 1 funds
MALAYSIA(GOVERNMENT OF) 4.498% NTS 15/04/30 MYR1000
Unknown
10%
in 1 funds
REPUBLIC OF SOUTH AFRICA GOVERNMENT BOND
Unknown
9.9%
in 1 funds
CBT US 2YR NOTE (CBT) Sep26
Unknown
9.14%
in 1 funds
POLAND(REPUBLIC OF) 5% BDS 25/10/34 PLN1000
Unknown
8.7%
in 1 funds
PETROM SA
Unknown
8.69%
in 1 funds
SNGN ROMGAZ SA
Unknown
8.34%
in 1 funds
ERSTE GROUP BANK AG
Unknown
7.45%
in 1 funds
Sector Breakdown (OMAN ISINs)
Aggregated across all funds with OMAN exposure
Financials
16%
Government Bonds
13.9%
Non-Us Treasuries
9.2%
Bonds Of States. Provinces And Municipalities
8.6%
Government
8.1%
Energy
3.4%
Consumer Discretionary
3.3%
Materials
3.2%
Performance Chart
Top 8-fund composite (rebased to 100, equal-weighted) OMAN ETF (benchmark) Real fund NAV data 2025-08-11 → 2026-07-31
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