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GB:GBDV Holdings Information

Compare
Holdings Count
99
Total Assets
1.39B
Top 10 Percentage
19.74%
Asset Class
Equity
Category
High Dividend Yield
Region
Global
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99 Holdings as of Nov 18, 2025
99 Holdings as of Nov 18, 2025
Name
Weight %
Market Value
Price & Change
Market Cap
Yearly Gain
Analyst Consensus
Analyst Price Target
Smart Score
Follow
Altria
2.47%
$34.32M
$97.58B
5.51%
3 Buy
2 Hold
1 Sell
Moderate Buy
CVS Health Corp
2.43%
$33.72M
$99.54B
39.75%
15 Buy
1 Hold
0 Sell
Strong Buy
APA Group
2.00%
$27.77M
$7.92B
41.29%
3 Buy
5 Hold
2 Sell
Hold
Verizon Communications
1.98%
$27.44M
$172.92B
-1.07%
5 Buy
11 Hold
0 Sell
Moderate Buy
Ltc Properties
1.92%
$26.63M
$1.72B
-5.47%
0 Buy
5 Hold
0 Sell
Hold
AES Corporation
1.90%
$26.31M
$9.91B
-0.22%
6 Buy
3 Hold
0 Sell
Moderate Buy
Bouygues
1.84%
$25.59M
€16.02B
42.79%
1 Buy
3 Hold
0 Sell
Hold
032640
LG Uplus Corp
1.77%
$24.50M
Pfizer Inc
1.73%
$24.04M
$142.60B
1.39%
4 Buy
10 Hold
1 Sell
Hold
Universal Corporation
1.70%
$23.57M
$1.30B
-3.50%
Rows:
10

Sector Breakdown

26.77%Financial21.73%Utilities12.72%Real Estate8.56%Industrials7.58%Healthcare5.15%Consumer Defensive4.30%Consumer Cyclical4.02%Energy3.80%Communication Services2.53%Services1.52%Basic Materials26.77%Financial
Financial
26.77%
Utilities
21.73%
Real Estate
12.72%
Industrials
8.56%
Healthcare
7.58%
Consumer Defensive
5.15%
Consumer Cyclical
4.30%
Energy
4.02%
Communication Services
3.80%
Services
2.53%
Basic Materials
1.52%

Countries Breakdown

50.06%United States10.61%Hong Kong8.77%Canada3.50%Switzerland3.48%United Kingdom3.36%Italy3.10%Japan2.94%Korea2.46%France2.22%Finland2.00%Australia1.95%Germany1.65%Portugal1.22%Belgium0.99%United Arab Emirates0.87%Norway0.82%Taiwan50.06%United States
United States
50.06%
Hong Kong
10.61%
Canada
8.77%
Switzerland
3.50%
United Kingdom
3.48%
Italy
3.36%
Japan
3.10%
Korea
2.94%
France
2.46%
Finland
2.22%
Australia
2.00%
Germany
1.95%
Portugal
1.65%
Belgium
1.22%
United Arab Emirates
0.99%
Norway
0.87%
Taiwan
0.82%

Breakdown By Smart Score

8.54%Outperform1010.41%Outperform98.25%Outperform822.71%Neutral715.85%Neutral615.17%Neutral511.24%Neutral44.84%Underperform31.11%Underperform21.87%Underperform16
The weighted average smart score of the GB:GBDV ETF is 6
10
8.54%
9
10.41%
8
8.25%
7
22.71%
6
15.85%
5
15.17%
4
11.24%
3
4.84%
2
1.11%
1
1.87%

GBDV ETF FAQ

What are ETF GB:GBDV’s top 3 holdings?
GB:GBDV’s top 3 holdings are MO, CVS, AU:APA.
    What is ETF GB:GBDV’s holdings count?
    ETF GB:GBDV’s is holdings 99 different assets.
      What are the total assets of ETF GB:GBDV?
      ETF GB:GBDV’s total assets are 1.39B.
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