AVIV ETF

$78.64

Top Countries

#CountryRegionAllocation
1Japan
Asia-Pacific
18.15%
2United Kingdom
Europe
16.33%
3Canada
North America
12.82%
4US
Global
8.26%
5Germany
Europe
7.98%
6Switzerland
Europe
7.40%
7France
Europe
7.34%
8Australia
Asia-Pacific
5.21%
9Netherlands
Europe
3.72%
10Italy
Europe
2.71%
11Sweden
Europe
2.11%
12Hong Kong
Asia-Pacific
1.70%
13Singapore
Asia-Pacific
1.62%
14Spain
Europe
1.61%
15Finland
Europe
1.29%
16Israel
Middle East & Africa
1.06%
17Norway
Europe
0.60%
18Luxembourg
Europe
0.58%
19Denmark
Europe
0.56%
20Belgium
Europe
0.45%

AVIV ETF Geographic Allocation

AVIV geographic allocation spans Japan (18.1%), United Kingdom (16.3%), Canada (12.8%), US (8.3%), Germany (8.0%). The fund covers 6 regions.

AVIV country exposure helps investors assess international diversification and geopolitical risk.AVIV sector breakdown alongside geography gives a complete picture of portfolio allocation.

AVIV ETF Geographic Exposure

Market Development Overview

Developed Markets25 countries
94.5%
Emerging Markets3 countries
8.4%

Regional Allocation

Europe
53.7%
264 holdings
Asia-Pacific
27.0%
249 holdings
North America
12.9%
47 holdings
Global
8.3%
21 holdings
Middle East & Africa
1.1%
12 holdings
Latin America
0.0%
1 holding

Country Breakdown (Top 20)

CountryRegionStatusAllocation
JapanAsia-PacificDeveloped
18.15%
United KingdomEuropeDeveloped
16.33%
CanadaNorth AmericaDeveloped
12.82%
USGlobalEmerging
8.26%
GermanyEuropeDeveloped
7.98%
SwitzerlandEuropeDeveloped
7.40%
FranceEuropeDeveloped
7.34%
AustraliaAsia-PacificDeveloped
5.21%
NetherlandsEuropeDeveloped
3.72%
ItalyEuropeDeveloped
2.71%
SwedenEuropeDeveloped
2.11%
Hong KongAsia-PacificDeveloped
1.70%
SingaporeAsia-PacificDeveloped
1.62%
SpainEuropeDeveloped
1.61%
FinlandEuropeDeveloped
1.29%
IsraelMiddle East & AfricaDeveloped
1.06%
NorwayEuropeDeveloped
0.60%
LuxembourgEuropeDeveloped
0.58%
DenmarkEuropeDeveloped
0.56%
BelgiumEuropeDeveloped
0.45%