Fund report

US-listed

GSEE

Seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Solactive GBS Emerging Markets Large & Mid Cap Index.
Goldman Sachs MarketBeta Emerging Markets Equity ETF
Goldman Sachs

1,853 holdings as of 2026-05-31 · top 10 = 36.9% · TER 0.36% · P/E 19.6

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Concentration
Moderately concentratedtop 10 = 36.9%
diversifiedconcentrated
GROWTH · NAV (USD)rebased to 0%
Holdings
1,853
as of 2026-05-31
Top 10
36.9%
TER
0.36%
cheaper than 67% of peers
Net assets
US$144M
Largest
13.2%
P / E
19.6
covers 67% by weight
01Overview
the fund's regulatory facts
Fund currency
USD
Volatility 1Y
24.2%
Tracked index
Solactive GBS Emerging Markets Large & Mid Cap Index
How it tracks
Index, sampling
02Valuation and performance
market price return · as of 2026-09-03
1M
+2.0%
3M
-1.7%
6M
+16.7%
YTD
+23.5%
1Y
+32.6%
Valuation1,139 companies covered · weighted, profitable holdings only
19.6
price / earnings
MethodologyCompany-data coverageThe rest is 2% loss-making companies, which carry no P/E by the positive-earner convention; 2% bonds, cash or other non-equity; 28% cannot be reliably linked to the financial and market data used in this analysis. We exclude uncertain matches rather than estimate them.
4.8%
MethodologyEarnings yieldP/E is price over earnings; earnings yield is the reverse, earnings over price, and reads like a bond yield. P/E covers only the profitable holdings, since a loss-making company has no meaningful P/E. Earnings yield counts the loss-makers too, so it covers more of the fund and can fall below zero when the holdings lose money overall.
covers 69% by weight
1.37
price / book
covers 64% by weight

Computed from company filings and reported position values. MethodologyPortfolio valuationComputed by us from each company's own financial statements and the position values funds report, currency-adjusted and weighted harmonically. P/E covers profitable holdings only. Book value uses the most recent reported quarter.. Not investment advice.

03Holdings
50 largest · as of 2026-05-31
#CompanyIdentifierWeight
1Taiwan Semiconductor Manufacturing Co., Ltd. TW2330
13.1
2Samsung Electronics Co., Ltd. KR005930 KS
7.9
3SK hynix Inc KR000660
6.3
4Tencent Holdings Limited KY700
2.4
5Alibaba Group Holding Limited KY9988
2.0
6MediaTek Inc. TW2454
1.5
7DELTA ELECTRONICS, INC. TW2308
1.1
8Goldman Sachs Financial Square Treasury Obligations Fund USFTOXX
0.9
9HON HAI PRECISION INDUSTRY CO., LTD. TW2317
0.8
10CHINA CONSTRUCTION BANK CORPORATION CN939
0.8
11GOLDMAN SACHS FINANCIAL SQUARE FUNDS PRIME OBLIGATIONS FUND USFGTXX
0.7
12INTERNATIONAL HOLDINGS AEIHC
0.7
13HDFC BANK LIMITED INHDFCB
0.6
14RELIANCE INDUSTRIES LIMITED INRELIANCE
0.6
15SAMSUNG ELECTRO-MECHANICS CO.,LTD KR009150
0.6
16ASE Technology Holding Co., Ltd. TW3711
0.5
17SK Square Co., Ltd. KR402340
0.5
18Petroleo Brasileiro S.A. (Petrobras) BRPETR4
0.5
19ICICI BANK LIMITED INICICIBC
0.5
20HYUNDAI MOTOR COMPANY KR005380
0.5
21iShares MSCI Malaysia ETF USEWM
0.5
22PDD Holdings Inc. KYPDD
0.5
23VALE S.A. BRVALE3
0.5
24INDUSTRIAL AND COMMERCIAL BANK OF CHINA LIMITED CN1398
0.5
25XIAOMI CORPORATION KY1810 HK
0.4
26Ping An Insurance (Group) Company of China, Ltd. CN2318
0.4
27UNITED MICROELECTRONICS CORP. TW2303
0.4
28ELITE MATERIAL CO., LTD. TW2383
0.4
29AL RAJHI BANKING AND INVESTMENT CORPORATION SJSC SARJHI
0.4
30Delta Electronics (Thailand) Public Company Limited THDELTA-R
0.4
31Nu Holdings Ltd KYNU
0.4
32BHARTI AIRTEL LIMITED INBHARTI
0.4
33MEITUAN KY3690
0.4
34BANK OF CHINA LIMITED CN3988
0.3
35Itau Unibanco Holding S.A. BRITUB4
0.3
36BYD COMPANY LIMITED CN1211
0.3
37UNIMICRON TECHNOLOGY CORP. TW3037
0.3
38NETEASE, INC. KY9999 HK
0.3
39Accton Technology Corp. TW2345
0.3
40JD.COM, INC. KY9618 HK
0.3
41NASPERS LIMITED ZANPN
0.3
42Saudi Arabian Oil Company SA2222
0.3
43Grupo Mexico SAB de CV MXGMEXICOB MF
0.3
44YAGEO CORPORATION TW2327
0.3
45KB Financial Group Inc. KR105560 KS
0.3
46INFOSYS LIMITED ININFO
0.3
47BAIDU, INC. KY9888 HK
0.3
48Gold Fields Limited ZAGFI SJ
0.3
49KUWAIT FINANCE HOUSE K.S.C.P KWKFH
0.3
50PetroChina Company Limited CN857
0.2
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04Exposure
Equity 98.1%Cash 1.6%
By sector
Technology42.4%
Financial Services16.9%
Consumer Cyclical8.6%
Industrials7.2%
Materials5.6%
Communication Services5.5%
Consumer Defensive3.2%
Energy3.1%
Healthcare2.6%
Utilities2.0%
Real Estate1.1%
By country
TWTaiwan25.3%
KRSouth Korea22.6%
INIndia11.1%
CNChina10.6%
KYCayman Islands10.3%
BRBrazil3.2%
ZASouth Africa2.5%
SASA2.4%
CurrencyTWD 25.3% KRW 22.6% USD 12.7% INR 11.1% CNY 10.6%

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