Top Countries

#CountryRegionAllocation
1US
Global
29.31%
2Japan
Asia-Pacific
6.92%
3Canada
North America
5.60%
4France
Europe
5.09%
5United Kingdom
Europe
4.74%
6Italy
Europe
4.24%
7Netherlands
Europe
3.64%
8Ireland
Europe
3.28%
9Spain
Europe
2.73%
10Austria
Europe
2.38%
11Australia
Asia-Pacific
2.14%
12Finland
Europe
2.03%
13Germany
Europe
1.99%
14Belgium
Europe
1.97%
15New Zealand
Asia-Pacific
1.89%
16Singapore
Asia-Pacific
1.70%
17South Korea
Asia-Pacific
1.60%
18Israel
Middle East & Africa
1.50%
19Sweden
Europe
1.31%
20Portugal
Europe
1.28%

IGOV ETF Geographic Allocation

IGOV geographic allocation spans US (29.3%), Japan (6.9%), Canada (5.6%), France (5.1%), United Kingdom (4.7%). The fund covers 7 regions.

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

IGOV ETF Geographic Exposure

Market Development Overview

Developed Markets26 countries
59.5%
Emerging Markets13 countries
32.5%

Regional Allocation

Europe
38.1%
291 holdings
Global
29.3%
280 holdings
Asia-Pacific
16.2%
239 holdings
North America
6.1%
57 holdings
Middle East & Africa
1.8%
7 holdings
Latin America
0.4%
4 holdings
Asia Pacific
0.2%
1 holding

Country Breakdown (Top 20)

CountryRegionStatusAllocation
USGlobalEmerging
29.31%
JapanAsia-PacificDeveloped
6.92%
CanadaNorth AmericaDeveloped
5.60%
FranceEuropeDeveloped
5.09%
United KingdomEuropeDeveloped
4.74%
ItalyEuropeDeveloped
4.24%
NetherlandsEuropeDeveloped
3.64%
IrelandEuropeDeveloped
3.28%
SpainEuropeDeveloped
2.73%
AustriaEuropeDeveloped
2.38%
AustraliaAsia-PacificDeveloped
2.14%
FinlandEuropeDeveloped
2.03%
GermanyEuropeDeveloped
1.99%
BelgiumEuropeDeveloped
1.97%
New ZealandAsia-PacificDeveloped
1.89%
SingaporeAsia-PacificDeveloped
1.70%
South KoreaAsia-PacificDeveloped
1.60%
IsraelMiddle East & AfricaDeveloped
1.50%
SwedenEuropeDeveloped
1.31%
PortugalEuropeDeveloped
1.28%