DOGG Holdings Information
Holdings Count
13Total Assets
88.68MTop 10 Percentage
112.33%Asset Class
AlternativesCategory
―Region
North AmericaTop Holdings
13 Holdings as of Jul 31, 2026
Name | Weight % | Market Value |
|---|---|---|
United States Treasury Bills 0.0% 21-JAN-2027 | 60.00% | $49.00M |
Merck & Company | 6.44% | $5.26M |
Amgen Inc | 6.29% | $5.14M |
Unitedhealth Group Inc. | 6.21% | $5.07M |
Coca-cola Company | 6.15% | $5.02M |
Home Depot | 5.67% | $4.63M |
Chevron | 5.51% | $4.50M |
Verizon Communications | 5.42% | $4.43M |
Procter & Gamble Company | 5.40% | $4.41M |
Nike Inc | 5.24% | $4.28M |
DOGG ETF News

PremiumAI Analyst Ratings

PremiumWeekend Updates

PremiumCompany Announcements
See More DOGG News
DOGG ETF FAQ
What are ETF DOGG’s top 3 holdings?
DOGG’s top 3 holdings are United States Treasury Bills 0.0% 21-JAN-2027, MRK, AMGN.
What is DOGG’s holding count?
ETF DOGG’s is holdings 13 different assets.
What are the total assets of ETF DOGG?
ETF DOGG’s total assets are 88.68M.
What sector is DOGG most exposed to?
Currently, no data Available
How concentrated is DOGG?
DOGG’s top 10 holdings represent 112.33% of the fund.
What is DOGG’s average Smart Score?
Currently, no data Available




