SG:K6K Holdings Information
Last updated: September 17, 2026
Holdings Count
355Total Assets
4.05BTop 10 Percentage
28.70%Asset Class
EquityCategory
Size And StyleRegion
North AmericaTop Holdings
355 Holdings as of Sep 17, 2026
Sector Breakdown
Technology
32.79%General
15.18%Financial
11.46%Healthcare
9.17%Consumer Cyclical
8.28%Industrials
6.78%Communication Services
6.63%Consumer Defensive
3.99%Basic Materials
2.90%Utilities
1.26%Energy
0.81%Real Estate
0.76%Countries Breakdown
United States
73.89%Japan
13.65%Germany
4.90%Switzerland
3.63%Israel
0.77%Belgium
0.60%Norway
0.45%Canada
0.37%Australia
0.37%Sweden
0.34%Portugal
0.33%Spain
0.18%United Kingdom
0.16%Denmark
0.16%Finland
0.13%Netherlands
0.08%Breakdown By Smart Score
The weighted average smart score of the SG:K6K ETF is 7
10
17.78%9
30.64%8
13.59%7
14.37%6
8.75%5
3.60%4
5.13%3
4.53%2
0.59%1
1.01%K6K ETF News
K6K ETF FAQ
What are ETF SG:K6K’s top 3 holdings?
SG:K6K’s top 3 holdings are MSFT, AAPL, AMZN.
What is SG:K6K’s holding count?
ETF SG:K6K’s is holdings 355 different assets.
What are the total assets of ETF SG:K6K?
ETF SG:K6K’s total assets are 4.05B.
What sector is SG:K6K most exposed to?
SG:K6K is most exposed to 32.79% Technology of its holdings.
How concentrated is SG:K6K?
SG:K6K’s top 10 holdings represent 28.70% of the fund.
What is SG:K6K’s average Smart Score?
The weighted average Smart Score of SG:K6K is 7.







