KROP Holdings Information
Holdings Count
32Total Assets
9.24MTop 10 Percentage
75.52%Asset Class
EquityCategory
SectorRegion
GlobalTop Holdings
32 Holdings as of Jul 15, 2026
Sector Breakdown
Industrials
44.68%Basic Materials
34.86%Consumer Defensive
13.20%General
6.38%Healthcare
0.57%Consumer Cyclical
0.31%Countries Breakdown
United States
54.67%Canada
12.17%China
11.14%Japan
11.01%Germany
5.29%Australia
2.67%Mexico
1.35%Saudi Arabia
0.34%Philippines
0.30%Switzerland
0.29%Malaysia
0.29%Indonesia
0.29%Korea
0.15%Thailand
0.05%Breakdown By Smart Score
The weighted average smart score of the KROP ETF is 6
10
16.74%9
17.86%8
19.49%7
23.16%6
2.06%5
12.49%4
1.94%3
0.00%2
4.67%1
1.60%KROP ETF News
KROP ETF FAQ
What are ETF KROP’s top 3 holdings?
KROP’s top 3 holdings are CTVA, DE, TSE:NTR.
What is KROP’s holding count?
ETF KROP’s is holdings 32 different assets.
What are the total assets of ETF KROP?
ETF KROP’s total assets are 9.24M.
What sector is KROP most exposed to?
KROP is most exposed to 44.68% Industrials of its holdings.
How concentrated is KROP?
KROP’s top 10 holdings represent 75.52% of the fund.
What is KROP’s average Smart Score?
The weighted average Smart Score of KROP is 6.



