GB:0Y7V Holdings Information
Last updated: September 30, 2026
Holdings Count
380Total Assets
1.66BTop 10 Percentage
36.60%Asset Class
EquityCategory
Size And StyleRegion
GlobalTop Holdings
380 Holdings as of Sep 30, 2026
Sector Breakdown
Technology
38.50%General
22.57%Consumer Cyclical
7.84%Communication Services
5.89%Healthcare
5.45%Industrials
4.85%Financial
4.71%Consumer Defensive
4.70%Energy
4.44%Basic Materials
0.69%Utilities
0.32%Real Estate
0.04%Countries Breakdown
United States
75.58%Italy
10.65%Switzerland
4.97%Sweden
2.53%Germany
2.18%Netherlands
1.81%Japan
1.09%Denmark
0.53%Norway
0.26%Finland
0.15%Israel
0.15%Belgium
0.08%Canada
<0.01%Spain
<0.01%Breakdown By Smart Score
The weighted average smart score of the GB:0Y7V ETF is 7
10
16.20%9
28.72%8
17.00%7
18.43%6
7.20%5
5.55%4
2.09%3
3.19%2
1.40%1
0.22%0Y7V ETF News
0Y7V ETF FAQ
What are ETF GB:0Y7V’s top 3 holdings?
GB:0Y7V’s top 3 holdings are NVDA, DERIVATIVE SECURITIES (OTHER), AAPL.
What is GB:0Y7V’s holding count?
ETF GB:0Y7V’s is holdings 380 different assets.
What are the total assets of ETF GB:0Y7V?
ETF GB:0Y7V’s total assets are 1.66B.
What sector is GB:0Y7V most exposed to?
GB:0Y7V is most exposed to 38.50% Technology of its holdings.
How concentrated is GB:0Y7V?
GB:0Y7V’s top 10 holdings represent 36.60% of the fund.
What is GB:0Y7V’s average Smart Score?
The weighted average Smart Score of GB:0Y7V is 7.





