BIV ETF

$75.69

Top Countries

#CountryRegionAllocation
1United States
North America
90.45%
2US
Global
8.74%
3Mexico
North America
0.15%
4Canada
North America
0.11%
5United Kingdom
Europe
0.11%
6Japan
Asia-Pacific
0.06%
7Switzerland
Europe
0.04%
8Spain
Europe
0.02%
9China
Asia-Pacific
0.02%
10France
Europe
0.02%
11Cayman Islands
Latin America
0.02%
12Hong Kong
Asia-Pacific
0.02%
13Ireland
Europe
0.01%
14New Zealand
Asia-Pacific
0.01%
15Indonesia
Asia-Pacific
0.01%

BIV ETF Geographic Allocation

BIV geographic allocation spans United States (90.5%), US (8.7%), Mexico (0.1%), Canada (0.1%), United Kingdom (0.1%). The fund covers 5 regions.

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

BIV ETF Geographic Exposure

Market Development Overview

Developed Markets10 countries
90.9%
Emerging Markets5 countries
8.9%

Regional Allocation

North America
90.7%
2111 holdings
Global
8.7%
169 holdings
Europe
0.2%
12 holdings
Asia-Pacific
0.1%
10 holdings
Latin America
0.0%
1 holding

Country Breakdown (Top 20)

CountryRegionStatusAllocation
United StatesNorth AmericaDeveloped
90.45%
USGlobalEmerging
8.74%
MexicoNorth AmericaEmerging
0.15%
CanadaNorth AmericaDeveloped
0.11%
United KingdomEuropeDeveloped
0.11%
JapanAsia-PacificDeveloped
0.06%
SwitzerlandEuropeDeveloped
0.04%
SpainEuropeDeveloped
0.02%
ChinaAsia-PacificEmerging
0.02%
FranceEuropeDeveloped
0.02%
Cayman IslandsLatin AmericaEmerging
0.02%
Hong KongAsia-PacificDeveloped
0.02%
IrelandEuropeDeveloped
0.01%
New ZealandAsia-PacificDeveloped
0.01%
IndonesiaAsia-PacificEmerging
0.01%