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GB:0Y37 Holdings Information

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Last updated: September 30, 2026

Holdings Count
1,252
Total Assets
2.32B
Top 10 Percentage
27.63%
Asset Class
Equity
Category
Size And Style
Region
Global
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Top Holdings

1,252 Holdings as of Sep 30, 2026
1,252 Holdings as of Sep 30, 2026
Name
Weight %
Market Value
Price & Change
Market Cap
Yearly Gain
Analyst Consensus
Analyst Price Target
Smart Score
Follow
Nvidia Corporation
5.78%$1.03B―$5.50T22.22%
31 Buy
0 Hold
0 Sell
Strong Buy
―
Apple Inc
5.45%$971.57M―$4.86T28.46%
15 Buy
11 Hold
4 Sell
Moderate Buy
―
Microsoft
3.95%$703.68M―$3.81T-0.57%
34 Buy
1 Hold
0 Sell
Strong Buy
―
Amazon.Com, Inc.
2.62%$466.45M―$2.69T11.61%
39 Buy
2 Hold
0 Sell
Strong Buy
―
Alphabet Inc. Class A
2.21%$393.76M―$4.19T37.67%
24 Buy
4 Hold
0 Sell
Strong Buy
―
Alphabet Inc. Class C
1.74%$310.54M―$4.19T35.91%
11 Buy
1 Hold
0 Sell
Strong Buy
―
Broadcom Inc.
1.74%$309.32M―$1.68T1.61%
27 Buy
3 Hold
0 Sell
Strong Buy
―
Meta Platforms, Inc.
1.73%$307.68M―$1.85T-0.15%
39 Buy
6 Hold
0 Sell
Strong Buy
―
Micron Technology
1.31%$233.00M―$1.20T497.22%
25 Buy
1 Hold
0 Sell
Strong Buy
―
Tesla, Inc.
1.12%$200.08M―$1.40T-18.78%
12 Buy
11 Hold
2 Sell
Moderate Buy
―
Rows:
10

Sector Breakdown

26.17%Technology13.99%General13.68%Financial8.25%Industrials8.24%Healthcare8.01%Communication Services7.65%Consumer Cyclical4.35%Consumer Defensive3.91%Energy2.53%Basic Materials1.72%Utilities1.51%Real Estate26.17%Technology
Technology
26.17%
General
13.99%
Financial
13.68%
Industrials
8.25%
Healthcare
8.24%
Communication Services
8.01%
Consumer Cyclical
7.65%
Consumer Defensive
4.35%
Energy
3.91%
Basic Materials
2.53%
Utilities
1.72%
Real Estate
1.51%

Countries Breakdown

73.50%United States5.86%Japan3.43%United Kingdom3.18%Canada2.18%France2.17%Switzerland2.07%Germany1.53%Australia1.30%Netherlands0.91%Spain0.80%Sweden0.76%Italy0.40%Singapore0.39%Hong Kong0.38%Denmark0.27%Belgium0.23%Israel0.22%Finland0.15%Norway0.09%Austria0.09%Ireland0.06%Portugal0.02%New Zealand73.50%United States
United States
73.50%
Japan
5.86%
United Kingdom
3.43%
Canada
3.18%
France
2.18%
Switzerland
2.17%
Germany
2.07%
Australia
1.53%
Netherlands
1.30%
Spain
0.91%
Sweden
0.80%
Italy
0.76%
Singapore
0.40%
Hong Kong
0.39%
Denmark
0.38%
Belgium
0.27%
Israel
0.23%
Finland
0.22%
Norway
0.15%
Austria
0.09%
Ireland
0.09%
Portugal
0.06%
New Zealand
0.02%

Breakdown By Smart Score

21.16%Outperform1031.85%Outperform912.83%Outperform816.81%Neutral75.72%Neutral64.98%Neutral52.33%Neutral42.76%Underperform31.18%Underperform20.38%Underperform18
The weighted average smart score of the GB:0Y37 ETF is 8
10
21.16%
9
31.85%
8
12.83%
7
16.81%
6
5.72%
5
4.98%
4
2.33%
3
2.76%
2
1.18%
1
0.38%

0Y37 ETF News

0Y37 ETF FAQ

What are ETF GB:0Y37’s top 3 holdings?
GB:0Y37’s top 3 holdings are NVDA, AAPL, MSFT.
    What is GB:0Y37’s holding count?
    ETF GB:0Y37’s is holdings 1,252 different assets.
      What are the total assets of ETF GB:0Y37?
      ETF GB:0Y37’s total assets are 2.32B.
        What sector is GB:0Y37 most exposed to?
        GB:0Y37 is most exposed to 26.17% Technology of its holdings.
          How concentrated is GB:0Y37?
          GB:0Y37’s top 10 holdings represent 27.63% of the fund.
            What is GB:0Y37’s average Smart Score?
            The weighted average Smart Score of GB:0Y37 is 8.
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