BBIB ETF largest country is US at 65.0% as of Jun 30, 2026

BBIB ETF largest country is US at 65.0% as of Jun 30, 2026
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US is BBIB's largest country exposure at 65.0% of the fund as of Jun 30, 2026. BBIB is JPMorgan BetaBuilders US Treasury Bond 3-10 Year ETF.

Top Countries

#CountryRegionAllocation
1US
Global
64.95%
2United Kingdom
Europe
3.71%
3Italy
Europe
2.02%
4Belgium
Europe
1.44%
5Mexico
North America
1.12%
6Germany
Europe
0.41%
7South Korea
Asia-Pacific
0.40%
8Chile
Latin America
0.40%
9Australia
Asia-Pacific
0.38%
10Hong Kong
Asia-Pacific
0.37%
11Japan
Asia-Pacific
0.37%
12United States
North America
0.35%
13China
Asia-Pacific
0.33%
14Canada
North America
0.00%

BBIB ETF Geographic Allocation

BBIB geographic allocation spans US (65.0%), United Kingdom (3.7%), Italy (2.0%), Belgium (1.4%), Mexico (1.1%). The fund covers 5 regions.

BBIB country exposure helps investors assess international diversification and geopolitical risk. BBIB sectors alongside geography give a fuller picture of portfolio allocation.

BBIB ETF Geographic Exposure

Market Development Overview

Developed Markets10 countries
9.4%
Emerging Markets4 countries
66.8%

Regional Allocation

Global
65.0%
52 holdings
Europe
7.6%
8 holdings
Asia-Pacific
1.9%
5 holdings
North America
1.5%
3 holdings
Latin America
0.4%
1 holding

Country Breakdown (Top 20)

CountryRegionStatusAllocation
USGlobalEmerging
64.95%
United KingdomEuropeDeveloped
3.71%
ItalyEuropeDeveloped
2.02%
BelgiumEuropeDeveloped
1.44%
MexicoNorth AmericaEmerging
1.12%
GermanyEuropeDeveloped
0.41%
South KoreaAsia-PacificDeveloped
0.40%
ChileLatin AmericaEmerging
0.40%
AustraliaAsia-PacificDeveloped
0.38%
Hong KongAsia-PacificDeveloped
0.37%
JapanAsia-PacificDeveloped
0.37%
United StatesNorth AmericaDeveloped
0.35%
ChinaAsia-PacificEmerging
0.33%
CanadaNorth AmericaDeveloped
0.00%