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SMWCF Holdings Information

Compare
Holdings Count
100
Total Assets
135.64M
Top 10 Percentage
58.11%
Asset Class
Equity
Category
Sector
Region
Global
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100 Holdings as of Nov 07, 2025
100 Holdings as of Nov 07, 2025
Name
Weight %
Market Value
Price & Change
Market Cap
Yearly Gain
Analyst Consensus
Analyst Price Target
Smart Score
Follow
Walmart Inc.
10.26%
$13.95M
$809.01B
20.94%
28 Buy
0 Hold
0 Sell
Strong Buy
Costco Wholesale Corp.
9.55%
$12.99M
$414.39B
-2.14%
16 Buy
8 Hold
0 Sell
Moderate Buy
Procter & Gamble Company
7.88%
$10.71M
$340.67B
-12.36%
11 Buy
7 Hold
0 Sell
Moderate Buy
Coca-cola Company
6.47%
$8.80M
$294.70B
10.37%
14 Buy
1 Hold
0 Sell
Strong Buy
Nestlé
5.80%
$7.88M
$247.61B
7.85%
5 Buy
7 Hold
1 Sell
Moderate Buy
Philip Morris International
5.33%
$7.25M
$231.01B
18.74%
8 Buy
1 Hold
0 Sell
Strong Buy
Pepsico
4.50%
$6.13M
$195.34B
-14.25%
5 Buy
8 Hold
0 Sell
Moderate Buy
Unilever Plc (UK)
3.42%
$4.65M
£114.01B
1.23%
9 Buy
1 Hold
3 Sell
Moderate Buy
British American Tobacco (UK)
2.60%
$3.54M
£90.16B
51.12%
2 Buy
1 Hold
2 Sell
Hold
L'Oreal S.A. (UK)
2.30%
$3.13M
€193.00B
4.90%
4 Buy
6 Hold
2 Sell
Hold
Rows:
10

Sector Breakdown

91.82%Consumer Defensive6.30%Consumer Goods1.88%Consumer Cyclical91.82%Consumer Defensive
Consumer Defensive
91.82%
Consumer Goods
6.30%
Consumer Cyclical
1.88%

Countries Breakdown

63.79%United States10.93%United Kingdom6.59%Switzerland5.04%Japan4.28%France2.25%Canada1.76%Netherlands1.51%Belgium0.96%Australia0.73%Germany0.49%Norway0.38%Sweden0.34%Ireland0.27%Denmark0.19%Hong Kong0.17%Portugal0.13%Finland0.11%Singapore0.10%Italy63.79%United States
United States
63.79%
United Kingdom
10.93%
Switzerland
6.59%
Japan
5.04%
France
4.28%
Canada
2.25%
Netherlands
1.76%
Belgium
1.51%
Australia
0.96%
Germany
0.73%
Norway
0.49%
Sweden
0.38%
Ireland
0.34%
Denmark
0.27%
Hong Kong
0.19%
Portugal
0.17%
Finland
0.13%
Singapore
0.11%
Italy
0.10%

Breakdown By Smart Score

6.01%Outperform1030.80%Outperform915.24%Outperform85.53%Neutral74.32%Neutral621.15%Neutral52.46%Neutral42.59%Underperform310.37%Underperform21.52%Underperform17
The weighted average smart score of the SMWCF ETF is 7
10
6.01%
9
30.80%
8
15.24%
7
5.53%
6
4.32%
5
21.15%
4
2.46%
3
2.59%
2
10.37%
1
1.52%

SMWCF ETF FAQ

What are ETF SMWCF’s top 3 holdings?
SMWCF’s top 3 holdings are WMT, COST, PG.
    What is ETF SMWCF’s holdings count?
    ETF SMWCF’s is holdings 100 different assets.
      What are the total assets of ETF SMWCF?
      ETF SMWCF’s total assets are 135.64M.
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