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GB:0Y37 Holdings Information

Compare
Holdings Count
1,324
Total Assets
1.30B
Top 10 Percentage
27.25%
Asset Class
Equity
Category
Size And Style
Region
Global
See the full list of holdings, find out what stocks are the most undervalued and get access to the all ETF's smart score and filters.Go Premium
1,324 Holdings as of Oct 28, 2025
1,324 Holdings as of Oct 28, 2025
Name
Weight %
Market Value
Price & Change
Market Cap
Yearly Gain
Analyst Consensus
Analyst Price Target
Smart Score
Follow
Nvidia Corporation
5.53%
$392.26M
$5.03T
48.59%
35 Buy
1 Hold
1 Sell
Strong Buy
Apple Inc
4.78%
$338.62M
$4.00T
17.21%
20 Buy
12 Hold
3 Sell
Moderate Buy
Microsoft
4.50%
$319.21M
$4.03T
25.20%
34 Buy
0 Hold
0 Sell
Strong Buy
Amazon.Com, Inc.
2.61%
$184.87M
$2.46T
19.49%
41 Buy
0 Hold
0 Sell
Strong Buy
Meta Platforms, Inc.
1.95%
$138.43M
$1.89T
27.01%
37 Buy
9 Hold
0 Sell
Strong Buy
Broadcom Inc.
1.93%
$136.62M
$1.82T
118.51%
27 Buy
2 Hold
0 Sell
Strong Buy
Alphabet Inc. Class A
1.84%
$130.70M
$3.32T
57.38%
28 Buy
8 Hold
0 Sell
Strong Buy
Alphabet Inc. Class C
1.56%
$110.28M
$3.32T
56.22%
11 Buy
1 Hold
0 Sell
Strong Buy
Tesla, Inc.
1.53%
$108.66M
$1.53T
79.19%
14 Buy
11 Hold
10 Sell
Hold
JPMorgan Chase & Co.
1.02%
$72.03M
$840.08B
36.14%
11 Buy
6 Hold
0 Sell
Moderate Buy
Rows:
10

Sector Breakdown

28.77%Technology15.96%Financial10.18%Industrials9.92%Consumer Cyclical9.24%Healthcare8.61%Communication Services5.07%Consumer Defensive3.39%Energy2.75%Basic Materials2.62%Utilities1.92%Real Estate0.68%Services0.56%Consumer Goods0.01%Conglomerates28.77%Technology
Technology
28.77%
Financial
15.96%
Industrials
10.18%
Consumer Cyclical
9.92%
Healthcare
9.24%
Communication Services
8.61%
Consumer Defensive
5.07%
Energy
3.39%
Basic Materials
2.75%
Utilities
2.62%
Real Estate
1.92%
Services
0.68%
Consumer Goods
0.56%
Conglomerates
0.01%

Countries Breakdown

73.13%United States5.40%Japan3.70%United Kingdom3.04%Canada2.60%France2.35%Germany2.29%Switzerland1.64%Australia1.18%Netherlands0.85%Sweden0.82%Spain0.77%Italy0.46%Denmark0.43%Hong Kong0.35%Singapore0.26%Belgium0.22%Finland0.14%Norway0.14%Israel0.08%Ireland0.06%Portugal0.05%Austria0.03%New Zealand73.13%United States
United States
73.13%
Japan
5.40%
United Kingdom
3.70%
Canada
3.04%
France
2.60%
Germany
2.35%
Switzerland
2.29%
Australia
1.64%
Netherlands
1.18%
Sweden
0.85%
Spain
0.82%
Italy
0.77%
Denmark
0.46%
Hong Kong
0.43%
Singapore
0.35%
Belgium
0.26%
Finland
0.22%
Norway
0.14%
Israel
0.14%
Ireland
0.08%
Portugal
0.06%
Austria
0.05%
New Zealand
0.03%

Breakdown By Smart Score

18.58%Outperform1023.04%Outperform914.45%Outperform819.52%Neutral79.49%Neutral66.68%Neutral54.35%Neutral41.99%Underperform31.48%Underperform20.43%Underperform17
The weighted average smart score of the GB:0Y37 ETF is 7
10
18.58%
9
23.04%
8
14.45%
7
19.52%
6
9.49%
5
6.68%
4
4.35%
3
1.99%
2
1.48%
1
0.43%

0Y37 ETF FAQ

What are ETF GB:0Y37’s top 3 holdings?
GB:0Y37’s top 3 holdings are NVDA, AAPL, MSFT.
    What is ETF GB:0Y37’s holdings count?
    ETF GB:0Y37’s is holdings 1,324 different assets.
      What are the total assets of ETF GB:0Y37?
      ETF GB:0Y37’s total assets are 1.30B.
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