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GB:GBDV Holdings Information

Compare
Holdings Count
95
Total Assets
1.43B
Top 10 Percentage
16.37%
Asset Class
Equity
Category
High Dividend Yield
Region
Global
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Top Holdings

95 Holdings as of Jul 13, 2026
95 Holdings as of Jul 13, 2026
Name
Weight %
Market Value
Price & Change
Market Cap
Yearly Gain
Analyst Consensus
Analyst Price Target
Smart Score
Follow
Highwoods Properties
2.01%$32.93M$3.45B3.08%
1 Buy
2 Hold
0 Sell
Moderate Buy
Getty Realty
1.85%$30.31M$2.08B27.59%
1 Buy
3 Hold
0 Sell
Hold
Verizon Communications
1.65%$27.07M$178.21B2.93%
5 Buy
11 Hold
0 Sell
Moderate Buy
Edison International
1.65%$27.00M$29.23B51.88%
4 Buy
4 Hold
2 Sell
Hold
John Wiley Sons Cl
1.65%$26.92M$2.53B20.76%
Ltc Properties
1.56%$25.54M$2.03B13.56%
1 Buy
4 Hold
0 Sell
Hold
United Parcel Service
1.55%$25.28M$95.96B14.21%
7 Buy
8 Hold
2 Sell
Moderate Buy
Oneok Inc
1.53%$25.03M$58.08B14.96%
8 Buy
8 Hold
0 Sell
Moderate Buy
Northwest Bancshares
1.48%$24.23M$2.20B14.90%
1 Buy
4 Hold
0 Sell
Hold
Pfizer Inc
1.47%$23.99M$139.52B-1.46%
7 Buy
14 Hold
2 Sell
Hold
Rows:
10

Sector Breakdown

25.11%Financial12.81%Utilities12.37%Real Estate12.06%General7.81%Industrials7.79%Energy6.38%Consumer Defensive5.76%Communication Services3.68%Healthcare2.90%Consumer Cyclical2.21%Basic Materials1.11%Technology25.11%Financial
Financial
25.11%
Utilities
12.81%
Real Estate
12.37%
General
12.06%
Industrials
7.81%
Energy
7.79%
Consumer Defensive
6.38%
Communication Services
5.76%
Healthcare
3.68%
Consumer Cyclical
2.90%
Basic Materials
2.21%
Technology
1.11%

Countries Breakdown

55.23%United States9.56%Canada6.03%Hong Kong5.66%United Kingdom3.25%Italy2.92%France2.66%Switzerland2.44%Japan2.01%Korea1.83%Finland1.42%Australia1.10%Taiwan1.05%Portugal1.04%Norway1.01%Belgium0.98%Saudi Arabia0.95%United Arab Emirates0.85%Mexico55.23%United States
United States
55.23%
Canada
9.56%
Hong Kong
6.03%
United Kingdom
5.66%
Italy
3.25%
France
2.92%
Switzerland
2.66%
Japan
2.44%
Korea
2.01%
Finland
1.83%
Australia
1.42%
Taiwan
1.10%
Portugal
1.05%
Norway
1.04%
Belgium
1.01%
Saudi Arabia
0.98%
United Arab Emirates
0.95%
Mexico
0.85%

Breakdown By Smart Score

6.31%Outperform1013.32%Outperform921.07%Outperform811.44%Neutral715.05%Neutral610.92%Neutral512.47%Neutral42.48%Underperform34.28%Underperform22.65%Underperform16
The weighted average smart score of the GB:GBDV ETF is 6
10
6.31%
9
13.32%
8
21.07%
7
11.44%
6
15.05%
5
10.92%
4
12.47%
3
2.48%
2
4.28%
1
2.65%

GBDV ETF News

GBDV ETF FAQ

What are ETF GB:GBDV’s top 3 holdings?
GB:GBDV’s top 3 holdings are HIW, GTY, VZ.
    What is GB:GBDV’s holding count?
    ETF GB:GBDV’s is holdings 95 different assets.
      What are the total assets of ETF GB:GBDV?
      ETF GB:GBDV’s total assets are 1.43B.
        What sector is GB:GBDV most exposed to?
        GB:GBDV is most exposed to 25.11% Financial of its holdings.
          How concentrated is GB:GBDV?
          GB:GBDV’s top 10 holdings represent 16.37% of the fund.
            What is GB:GBDV’s average Smart Score?
            The weighted average Smart Score of GB:GBDV is 6.
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