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TWN

The Taiwan Fund, Inc.
1W: +1.7% 1M: +0.4% 3M: +7.8% YTD: +92.3% 1Y: +91.5% 3Y: +326.9% 5Y: +277.9%
$104.29
+2.55 (+2.51%)
 
Weekly Expected Move ±4.7%
$95 $100 $105 $110 $115
ETF NYSE · AUM $598.8M

Similar ETFs

20 peers by holdings overlap (28 holdings)
FHKCX
Fidelity China Region
40.6%
Shared9 holdings
Total81
AUM$2.9B
Price$73.01
00981A.TW
UPAMC Taiwan Stock Growth Active ETF Units
34.4%
Shared11 holdings
Total—
AUM$315.7B
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MGSEX
AMG Veritas Asia Pacific Fund Class N
28.0%
Shared4 holdings
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AUM$161M
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FSEAX
Fidelity Emerging Asia Fund
27.8%
Shared7 holdings
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AUM$2.4B
Price$88.72
PRASX
T. Rowe Price New Asia Fund
27.7%
Shared5 holdings
Total60
AUM$2.9B
Price$26.60
CNWGX
Calamos Evolving World Growth A
25.4%
Shared5 holdings
Total76
AUM$520M
Price$30.06
EEMAX
Columbia Emerging Markets Fund
24.4%
Shared9 holdings
Total86
AUM$964M
Price$21.38
MAPTX
Matthews Pacific Tiger Fund Investor Class
24.1%
Shared5 holdings
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CVMAX
Calvert Emerging Markets Equity Fund Class A
24.0%
Shared5 holdings
Total72
AUM$1.8B
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AEF
abrdn Emerging Markets ex-China Fund, Inc.
23.9%
Shared4 holdings
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AUM$390M
Price$9.60
SEMVX
Hartford Schroders Emerging Markets Equity Fund
23.2%
Shared6 holdings
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AUM$8.4B
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FEMKX
Fidelity Emerging Markets Fund
22.8%
Shared3 holdings
Total78
AUM$12.2B
Price$60.85
PRMSX
T. Rowe Price Emerging Markets Stock Fund
22.6%
Shared4 holdings
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AUM$7.5B
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IEMFX
T. Rowe Price Institutional Emerging Markets Equity Fund
22.6%
Shared4 holdings
Total75
AUM$688M
Price$51.54
EMQAX
Ashmore Emerging Markets Active Eq A
21.9%
Shared4 holdings
Total54
AUM$14M
Price$10.87
WWM
ETF
20.9%
Shared15 holdings
Total77
AUM—
Price—
MEGMX
Matthews Emerging Markets Equity Inv
20.5%
Shared4 holdings
Total75
AUM$345M
Price$21.00
TWMIX
American Century Emerging Markets Investor Class
20.5%
Shared6 holdings
Total83
AUM$2.1B
Price$18.92
MPACX
Matthews Asia Growth Fund
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Shared8 holdings
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AUM$214M
Price$35.66
EMFIX
Ashmore Emerging Markets Equity Fund - Institutional Class
19.3%
Shared7 holdings
Total64
AUM$347M
Price$17.90

Fundamentals Comparison

ETF AUM Holdings Top 10 Wt P/E P/B P/S ROE Net Margin Div Yield Rev Growth EPS Growth IS Score Piotroski
TWN $599M 28 74.2% 68.5 18.9 10.8 31.5% 15.7% 1.04% +35.8% +78.1% 65.8 6.0
FHKCX $2.9B 81 50.1% 12.5 3.3 3.8 30.9% 30.6% 1.36% +32.8% +60.9% 64.5 6.0
00981A.TW $315.7B — —% 33.0 10.9 12.4 38.3% 37.8% 0.74% +38.9% +81.9% 65.8 6.5
MGSEX $161M 45 54.8% 11.1 3.5 4.0 38.4% 36.5% 1.26% +41.6% +81.5% 69.1 6.6
FSEAX $2.4B 67 42.9% 10.4 3.1 3.8 36.7% 36.6% 1.60% +33.1% +77.9% 61.1 6.1
PRASX $2.9B 60 53.2% 10.5 3.5 4.2 41.5% 40.2% 1.56% +36.3% +66.6% 61.8 6.0
CNWGX $520M 76 39.7% 11.5 2.6 2.9 27.3% 25.3% 1.49% +28.1% +67.7% 58.2 5.8
EEMAX $964M 86 45.8% 10.3 3.7 4.4 44.4% 42.3% 1.57% +45.8% +87.2% 63.4 6.3
MAPTX $8.6B 65 46.0% 10.8 3.2 3.9 36.6% 35.9% 1.89% +38.5% +71.9% 62.0 5.9
CVMAX $1.8B 72 48.8% 10.9 3.3 3.8 36.5% 34.9% 2.41% +30.9% +52.2% 57.4 5.8
AEF $390M 65 52.5% 10.6 3.3 4.0 38.0% 37.8% 2.37% +34.0% +66.3% 63.5 6.0

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms