Fund shareholders of Shin-Etsu Chemical Co Ltd
ISIN JP3371200001 · Japan · LEI 353800PX8Q64N86H5W41
- Fund shareholders
- 438
- Of which ETFs
- 87 351 other funds
- Value held
- 10.8B $ 3.1B SEK · 22.5M €
This issuer has other securities : Shin-Etsu Chemical Co Ltd (US8245511055)
438 funds hold this company. This table lists the 431 that declare it in a regulatory filing. The other 7 publish their holdings in their own reports. They are not in the table.
| Fund | Shares | Value | Weight in fund | |
|---|---|---|---|---|
| T. Rowe Price Innovation Leaders ETF T. Rowe Price Exchange-Traded Funds, Inc. | 1,000 | 40.7K $ | 0.27 % | as of Mar 31, 2026 ↗ |
| Schroders Global Multi-Asset Portfolio Brighthouse Funds Trust I | 1,000 | 40.7K $ | 0.01 % | as of Mar 31, 2026 ↗ |
| Skandia Försiktig Skandia Fonder AB | 936 | 350.8K SEK | 0.01 % | as of Mar 31, 2026 ↗ |
| BlackRock Sustainable Aware Advantage International Equity Fund BlackRock Funds | 900 | 41.4K $ | 0.33 % | as of Apr 30, 2026 ↗ |
| iShares Enhanced International Active ETF BlackRock ETF Trust | 900 | 41.4K $ | 0.36 % | as of Apr 30, 2026 ↗ |
| SPP Generation 40-tal Storebrand Asset Management AS | 800 | 299.8K SEK | 0.01 % | as of Mar 31, 2026 ↗ |
| T. Rowe Price Active Core International Equity ETF T. Rowe Price Exchange-Traded Funds, Inc. | 800 | 36.8K $ | 0.18 % | as of Apr 30, 2026 ↗ |
| Applied Finance IVS International Large ETF ETF Opportunities Trust | 781 | 30.8K $ | 0.43 % | as of Mar 31, 2026 ↗ |
| Pacer Developed Markets Cash Cows Growth Leaders ETF Pacer Funds Trust | 658 | 30.5K $ | 1.19 % | as of Apr 30, 2026 ↗ |
| Xtrackers FTSE Developed ex US Multifactor ETF DBX ETF Trust | 619 | 24.5K $ | 0.04 % | as of Feb 27, 2026 ↗ |
| Fidelity Series Sustainable Non-U.S. Developed Markets Fund Fidelity Investment Trust | 618 | 28.5K $ | 0.08 % | as of Apr 30, 2026 ↗ |
| JPMorgan Flexible Income ETF J.P. Morgan Exchange-Traded Fund Trust | 500 | 23K $ | 0.05 % | as of Apr 30, 2026 ↗ |
| SA Schroders VCP Global Allocation Portfolio SUNAMERICA SERIES TRUST | 400 | 18.6K $ | 0.00 % | as of Apr 30, 2026 ↗ |
| Meriti Ekorren Global Finserve Nordic AB | 399 | 149.5K SEK | 0.06 % | as of Mar 31, 2026 ↗ |
| FlexShares ESG & Climate Developed Markets ex-US Core Index Fund FlexShares Trust | 300 | 13.9K $ | 0.02 % | as of Apr 30, 2026 ↗ |
| Storebrand Global Developed Markets Storebrand Asset Management AS | 200 | 75K SEK | 0.07 % | as of Mar 31, 2026 ↗ |
| CAIXABANK MASTER RENTA VARIABLE JAPON ADVISED BY, FI CAIXABANK ASSET MANAGEMENT SGIIC, S.A. | 11.8M € | 1.59 % | as of Dec 31, 2025 ↗ | |
| KUTXABANK BOLSA JAPON, FI KUTXABANK GESTION, SGIIC, S.A. | 5.9M € | 1.47 % | as of Dec 31, 2025 ↗ | |
| IBERCAJA BOLSA INTERNACIONAL, FI IBERCAJA GESTION, SGIIC, S.A. | 1.9M € | 0.37 % | as of Dec 31, 2025 ↗ | |
| MORINVEST, SICAV, S.A. BBVA ASSET MANAGEMENT, S.A., SGIIC | 1.4M € | 0.21 % | as of Dec 31, 2025 ↗ | |
| BBVA BOLSA INDICE JAPON (CUBIERTO), FI BBVA ASSET MANAGEMENT, S.A., SGIIC | 646K € | 1.11 % | as of Dec 31, 2025 ↗ | |
| IBERCAJA JAPON, FI IBERCAJA GESTION, SGIIC, S.A. | 212.1K € | 2.10 % | as of Dec 31, 2025 ↗ | |
| INVERSABADELL 25, FI SABADELL ASSET MANAGEMENT, S.A., S.G.I.I.C. | 190.8K € | 0.03 % | as of Dec 31, 2025 ↗ | |
| INVERSABADELL 50, FI SABADELL ASSET MANAGEMENT, S.A., S.G.I.I.C. | 140.4K € | 0.05 % | as of Dec 31, 2025 ↗ | |
| SABADELL PLANIFICACION, FI SABADELL ASSET MANAGEMENT, S.A., S.G.I.I.C. | 60.9K € | 0.03 % | as of Dec 31, 2025 ↗ | |
| INVERSABADELL 70, FI SABADELL ASSET MANAGEMENT, S.A., S.G.I.I.C. | 50.3K € | 0.08 % | as of Dec 31, 2025 ↗ | |
| CARFY, SICAV S.A. A&G FONDOS, SGIIC, SA | 37.1K € | 0.04 % | as of Dec 31, 2025 ↗ | |
| ALCESTIS INVESTMENT, SICAV, S.A. A&G FONDOS, SGIIC, SA | 37.1K € | 0.06 % | as of Dec 31, 2025 ↗ | |
| ANTA QUALITY RENTA VARIABLE GLOBAL, FI ANTA ASSET MANAGEMENT SGIIC, SOCIEDAD ANÓNIMA | 26.5K € | 0.42 % | as of Dec 31, 2025 ↗ | |
| ATL CAPITAL CARTERA DINAMICA, FI ATL 12 CAPITAL GESTION S.G.I.I.C, S.A. | 8.6K € | 0.02 % | as of Dec 31, 2025 ↗ | |
| BT FUND, FI BT FUND / SELECTION EQUITY ANDBANK WEALTH MANAGEMENT, SGIIC, S.A.U. | 291 € | 0.01 % | as of Dec 31, 2025 ↗ |
The funds most exposed to it
The weight is the share of a fund's net assets. The holders table ranks funds by number of shares. This one ranks them by the weight of the company in each fund.
| Fund | Weight in fund | |
|---|---|---|
| Hennessy Japan Fund Hennessy Funds Trust | 5.31 % | as of Apr 30, 2026 ↗ |
| BNY Mellon Concentrated International ETF BNY Mellon ETF Trust | 4.26 % | as of Apr 30, 2026 ↗ |
| Brown Advisory - WMC Japan Equity Fund Brown Advisory Funds | 3.80 % | as of Mar 31, 2026 ↗ |
| Global X Infrastructure Development ex-U.S. ETF GLOBAL X FUNDS | 3.38 % | as of Feb 28, 2026 ↗ |
| Matthews Japan Fund Matthews International Funds | 3.23 % | as of Mar 31, 2026 ↗ |
| Matthews Japan Active ETF Matthews International Funds | 3.23 % | as of Mar 31, 2026 ↗ |
| Comgest Growth Japan Comgest Asset Management International Limited | 3.03 % | as of Dec 31, 2025 ↗ |
| BlackRock International Fund BlackRock Series, Inc. | 2.99 % | as of Feb 27, 2026 ↗ |
| Pictet - Japanese Equity Selection Pictet Asset Management (Europe) S.A. | 2.84 % | as of Sep 30, 2025 ↗ |
| iShares Global Materials ETF iShares Trust | 2.73 % | as of Mar 31, 2026 ↗ |
Quarter after quarter
Each row is one quarter of SEC filings, newest first. The change compares each quarter with the one before.
| Quarter | Shareholders | Change | Shares | Change |
|---|---|---|---|---|
| 2026Q2 | 370 | +18 | 251,430,440 | +7.5 % |
| 2026Q1 | 352 | -2 | 233,924,110 | +0.5 % |
| 2025Q4 | 354 | -29 | 232,784,376 | -8.5 % |
| 2025Q3 | 383 | +23 | 254,403,495 | -2.2 % |
| 2025Q2 | 360 | -19 | 260,125,589 | -4.6 % |
| 2025Q1 | 379 | -16 | 272,578,421 | -3.1 % |
| 2024Q4 | 395 | +1 | 281,229,681 | +3.2 % |
| 2024Q3 | 394 | -22 | 272,610,733 | -7.4 % |
| 2024Q2 | 416 | +27 | 294,502,347 | +11.0 % |
| 2024Q1 | 389 | +5 | 265,432,337 | -9.0 % |
| 2023Q4 | 384 | 291,526,224 |
Cite this page
Titelia. "Fund shareholders of Shin-Etsu Chemical Co Ltd". https://titelia.com/en/stocks/shin-etsu-chemical-co-ltd-JP3371200001