TipRanks
Advertisement

GB:0MRA Holdings Information

Compare

Last updated: September 22, 2026

Holdings Count
64
Total Assets
748.16M
Top 10 Percentage
60.87%
Asset Class
Equity
Category
Size And Style
Region
Asia-Pacific
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

Top Holdings

64 Holdings as of Sep 22, 2026
64 Holdings as of Sep 22, 2026
Name
Weight %
Market Value
Price & Change
Market Cap
Yearly Gain
Analyst Consensus
Analyst Price Target
Smart Score
Follow
Unitedhealth Group Inc.
9.04%$81.05M―$338.90B6.01%
17 Buy
5 Hold
0 Sell
Strong Buy
―
Coca-cola Company
9.01%$80.86M―$374.84B33.35%
16 Buy
1 Hold
0 Sell
Strong Buy
―
Merck & Company
8.98%$80.53M―$368.84B89.42%
14 Buy
6 Hold
0 Sell
Moderate Buy
―
Gilead Sciences
8.95%$80.27M―$186.69B33.45%
17 Buy
4 Hold
0 Sell
Strong Buy
―
3M Company
4.49%$40.31M―$85.08B10.15%
5 Buy
4 Hold
2 Sell
Moderate Buy
―
Abbvie
4.47%$40.05M―$467.37B20.55%
19 Buy
4 Hold
0 Sell
Strong Buy
―
Danaher Corporation
4.45%$39.89M―$151.73B19.18%
17 Buy
2 Hold
0 Sell
Strong Buy
―
Thermo Fisher Scientific
4.42%$39.60M―$243.57B40.71%
16 Buy
3 Hold
0 Sell
Strong Buy
―
Booking Holdings
4.39%$39.40M―$126.62B-25.70%
22 Buy
6 Hold
0 Sell
Strong Buy
―
Micron Technology
2.68%$24.05M―$1.18T562.84%
28 Buy
1 Hold
0 Sell
Strong Buy
―
Rows:
10

Sector Breakdown

33.20%Healthcare24.66%General12.78%Consumer Defensive12.61%Technology8.01%Consumer Cyclical6.96%Industrials1.30%Communication Services0.46%Energy<0.01%Utilities<0.01%Financial33.20%Healthcare
Healthcare
33.20%
General
24.66%
Consumer Defensive
12.78%
Technology
12.61%
Consumer Cyclical
8.01%
Industrials
6.96%
Communication Services
1.30%
Energy
0.46%
Utilities
<0.01%
Financial
<0.01%

Countries Breakdown

92.19%United States7.81%France92.19%United States
United States
92.19%
France
7.81%

Breakdown By Smart Score

22.35%Outperform1038.99%Outperform914.53%Outperform821.51%Neutral71.22%Neutral6<0.01%Neutral51.39%Neutral4<0.01%Underperform38
The weighted average smart score of the GB:0MRA ETF is 8
10
22.35%
9
38.99%
8
14.53%
7
21.51%
6
1.22%
5
<0.01%
4
1.39%
3
<0.01%
2
0.00%
1
0.00%

0MRA ETF News

0MRA ETF FAQ

What are ETF GB:0MRA’s top 3 holdings?
GB:0MRA’s top 3 holdings are UNH, KO, MRK.
    What is GB:0MRA’s holding count?
    ETF GB:0MRA’s is holdings 64 different assets.
      What are the total assets of ETF GB:0MRA?
      ETF GB:0MRA’s total assets are 748.16M.
        What sector is GB:0MRA most exposed to?
        GB:0MRA is most exposed to 33.20% Healthcare of its holdings.
          How concentrated is GB:0MRA?
          GB:0MRA’s top 10 holdings represent 60.87% of the fund.
            What is GB:0MRA’s average Smart Score?
            The weighted average Smart Score of GB:0MRA is 8.
              What am I Missing?
              Make informed decisions based on Top Analysts' activity
              Know what industry insiders are buying
              Get actionable alerts from top Wall Street Analysts
              Find out before anyone else which stock is going to shoot up
              Get powerful stock screeners & detailed portfolio analysis
              Advertisement