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Xtrackers MSCI Malaysia UCITS ETF 1C

Xtrackers · LU0514694370

Xtrackers MSCI Malaysia UCITS ETF 1C is an exchange-traded fund (ETF) from Xtrackers, traded under the ticker XCX3 (ISIN LU0514694370). It lets you buy a basket of holdings in a single trade, spreading your money across them rather than one company. At its core it is a focused, thematic fund: it concentrates on the financials part of the market, so…

· Tracks the MSCI Malaysia TRN Index index ?
Equity ?Accumulating ?Physical ?LU ?
Mid-range feeReinvests dividendsOwns the shares directlyOtherConcentrated in a few names
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Fund size (AUM) ?
€0
Risk level (SRI) ?
5 / 7 · High
1-year return ?
+22.9%
Price Return · to 2026-07-23
Yearly fee (TER) ?
0.50%
All-in cost ≈ 0.50%

About this fund

What you own

The MSCI Malaysia TRN Index index is the benchmark this fund aims to copy. By holding it, this fund gives you a stake in around 24 companies across Other in a single purchase.

Dividends

The fund automatically reinvests dividends back into itself, so your holding grows without cash payouts.

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Rolling the dividends straight back in means your money compounds automatically, with nothing for you to reinvest by hand. The flip side is there is no cash income; the growth simply shows up as a higher fund value. Note that reinvested dividends can still be taxable in some countries even though you never receive the cash — the rules depend on where you live.

How it works

The fund actually buys every share in the index it tracks (full replication).

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Owning every holding keeps things transparent — what is in the index is what the fund actually owns. It can be a touch costlier to run for indexes with thousands of tiny positions, since the fund has to buy and maintain them all. There is no swap bank involved, so there is no extra “what if the partner fails” question to weigh.

Cost

0.50%Yearly fee (TER)
0.50%All-in cost

The yearly running cost of the fund, shown as a % of your money. Lower is cheaper.

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For example, a 0.20% fee works out at €0.20 a year for every €100 invested — that’s a generic illustration of the mechanic, not this fund’s own fee. It is skimmed quietly from inside the fund a little each day, so you never get a bill — but it drags on your return every year you hold. On a broad index ETF it is usually a small fraction of a percent; the gap between a cheap and a pricey fund looks tiny on day one but compounds over decades, which is why it is worth a glance.

Fund facts

Index tracked ?
MSCI Malaysia TRN Index
Replication ?
Physical
Full — buys every share
Regulation ?
UCITS
Yes
Launched
2010
16-year track record

Performance

83.592.6102111120202420252026

Growth of $100 invested — both lines start at $100.

Xtrackers MSCI Malaysia UCITS ETF 1C Average MSCI Malaysia TRN Index ETF (funds we track) ?

Compared with the average fund tracking the same index — our own data, not the licensed index itself.

YTD+5.7%
1 year+22.9%
3 years+12.9%
5 years+6.8%

Return, year by year

+0.7
-7.3
+27.4
+3.0
'22'23'24'25
3 of 4 up yearsBest: 2024 +27.4%Worst: 2023 -7.3%Calendar-year total returns, in USD

How bumpy has it been?

14.3%
Volatility (1y) ?
How much the price swings year to year — lower is calmer.
-21.2%
Worst drop (3y) ?
The biggest fall from a peak over the last three years.
0.92
Return for the risk (3y) ?
Reward earned per unit of bumpiness.

The bigger picture

+39.5%
Since inception
Total growth since launch — about +6.9% a year.
+33.4%
Best 12 months
The strongest one-year stretch on record.
-13.9%
Worst 12 months
The weakest one-year stretch on record.
-21.2%
Worst fall on record ?
It clawed back in about 9 months.

What's inside

By sector ?

Financials51.6%
Utilities14.0%
Industrials10.1%
Materials8.5%
Consumer Staples7.1%
Communication Services5.2%
Health Care3.2%
Other / not shown0.4%

The 10 biggest holdings make up 74.1% of the fund — the rest is spread across roughly 14 more companies.

Top 10 holdings

#CompanyWeight
1PUBLIC BANK15.3%
2MALAYAN BANKING13.6%
3CIMB GROUP HOLDINGS12.8%
4TENAGA NASIONAL8.2%
5PRESS METAL ALUMINIUM HOLDINGS6.3%
6GAMUDA4.7%
7AMMB HOLDINGS3.6%
8RHB BANK3.4%
9IHH HEALTHCARE3.2%
10SUNWAY3.1%

Where to buy this fund

Set from your language & location — change it if it's wrong.

Where it trades

ExchangeTickerCurrency
LSEXCX3USD★ Primary
EUR listings
FrankfurtXCS3EUR
USD listings
B2XCS3USD
B2XCS3USDUSD
B3XCS3DUSD
B3XCS3LUSD
B3XCX3LUSD
B4LG6USD
E1LG6GBXUSD
E1LG6EURUSD
E1LG6CHFUSD
E1LG61USD
E1LG6USD
EBXCX3LUSD
EBXCS3DUSD
EOLG6USD
EOLG61USD
EOLG6CHFUSD
EOLG6EURUSD
EOLG6GBXUSD
EPLG6USD
EPLG6CHFUSD
EULG6USDUSD
EULG6GBXUSD
EULG6USD
EZLG6CHFUSD
EZLG6USD
GDXCS3USD
GFXCS3USD
GHXCS3USD
GMXCS3USD
GSXCS3USD
GTXCS3USD
GZXCS3USD
I2XCS3DUSD
IXXCS3DUSD
IXXCX3LUSD
L1XCS3DUSD
L1XCS3LUSD
L3XCS3DUSD
L3XCX3LUSD
L3XMALZUSD
L3XCS3LUSD
LAXCS3USD
LSEXCS3USD
LUXCS3USD
LXLG6USD
POXCS3DUSD
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POXCX3LUSD
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QTXCS3USD
S1XCS3DUSD
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T2XCX3USD
T2XCS3USDUSD
T2XCS3EURUSD
THXCS3USD
WTXCS3EURUSD
WTXCS3USDUSD
WTXCX3USD
X9LG6USDUSD
X9LG6GBXUSD
X9LG6USD
XALG6EURUSD
XELG6EURUSD
XFLG6EURUSD
XGLG6EURUSD
XHLG6EURUSD
XJLG6EURUSD
XLLG6USD
XLLG6EURUSD
XLLG6GBXUSD
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XSLG6EURUSD
XULG6EURUSD
XVLG6GBXUSD
XVLG6EURUSD
XVLG6CHFUSD
XVLG61USD
XVLG6USD
XWLG6USD
XWLG6EURUSD
XWLG6GBXUSD
XXLG6EURUSD
XXLG6CHFUSD
XXLG61USD
XXLG6USD
XXLG6GBXUSD
For serious comparison — full data holdings, percentiles, advanced risk, tilt, flows

Full holdings

As of 2026-07-23 · the fund's own published holdings.

#CompanyWeight
1PUBLIC BANK15.3%
2MALAYAN BANKING13.6%
3CIMB GROUP HOLDINGS12.8%
4TENAGA NASIONAL8.2%
5PRESS METAL ALUMINIUM HOLDINGS6.3%
6GAMUDA4.7%
7AMMB HOLDINGS3.6%
8RHB BANK3.4%
9IHH HEALTHCARE3.2%
10SUNWAY3.1%
11HONG LEONG BANK3.0%
12PETRONAS GAS3.0%
13YTL POWER INTERNATIONAL2.8%
14SD GUTHRIE2.7%
15MISC2.3%
16IOI CORPORATION2.2%
17KUALA LUMPUR KEPONG2.2%
18PETRONAS CHEMICALS GROUP2.1%
19TELEKOM MALAYSIA1.9%
20CELCOMDIGI1.7%
21MAXIS1.6%
22MALAYSIAN RINGGIT0.3%
23US DOLLAR0.0%
24EURO CURRENCY0.0%

⭳ Download full holdings (CSV)

How it ranks vs peers

🪙 Cheaper than 35% of similar ETFs💰 All-in cost cheaper than 42%📈 Higher 1-yr return than 75%📈 Higher 3-yr return than 75%📈 Higher 5-yr return than 56%📊 Beat its category by 13.2% (1-yr) (category average +9.7%)📊 Beat its category by 7.4% (3-yr) (category average +5.4%)📊 Beat its category by 3.7% (5-yr) (category average +3.1%)

Versus the Equity (stocks) · Other · EUR ETFs we track.

Advanced risk

1.34
Sortino (3y) ?
0.61
Calmar (3y) ?
9.5%
Downside deviation ?
75%
Up months (hit rate) ?
$13.15
52-week high ?
$10.27
52-week low ?

Concentration depth

~12 ?
Effective number of holdings

Roughly 24 companies are held, but the largest names carry most of the weight — so it behaves like ~12 equal-sized positions.

Tilt vs a world tracker

Malaysia+99.6
United States-72.1
Financials+35.4
Technology-29.2
Utilities+11.5
Consumer Discretionary-9.0

Percentage points over / under a broad world-equity tracker (not a licensed benchmark).

Similar funds

We found 6 funds that do much the same job as this one. To pick them we matched this fund's asset class and region, then show how close each match is below.

Matched on🌍 Other stocks
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Why it's similarThis is the fund on this page.
StocksPhysicalCheaper fee
Tracks a different index in the same category.
StocksPhysicalCheaper fee
Tracks a different index in the same category.
StocksAccumulatingCheaper fee
Tracks a different index in the same category.
StocksPhysicalCheaper fee
Tracks a different index in the same category.
StocksAccumulatingPhysicalCheaper fee
Tracks a different index in the same category.
StocksPhysicalCheaper fee
Tracks a different index in the same category.
Index trackedMSCI Malaysia TRN IndexTechnology Select Sector IndexFTSE Developed ex US IndexS&P 500® Total Return (Net) IndexFinancial Select Sector Index® ® S&p® 500 Mxn Hdg® ® S&p® 500 Hdg
Yearly fee (TER)0.50%0.08%0.03%0.05%0.08%0.05%0.05%
All-in cost0.50%0.00%0.00%0.12%0.00%0.06%0.06%
Fund size€0€100.7B€57.6B€50.3B€48.9B€36.7B€36.7B
DomicileLUUnited StatesUnited StatesIrelandUnited StatesIrelandIreland
ReplicationPhysical (full)Physical (full)Physical (full)Synthetic (swap)Physical (full)Physical (full)Physical (full)
3-yr return p.a.+12.9%+26.5%+13.9%-73.9%+16.7%
5-yr return p.a.+6.8%+18.6%+6.7%+9.2%
# holdings24771,49457280505505

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Data as of 2026-07-23 · Source: issuer data, compiled by Finance Hamster

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