IVOV ETF largest country is US at 95.3% as of Jun 30, 2026

IVOV ETF largest country is US at 95.3% as of Jun 30, 2026
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US is IVOV's largest country exposure at 95.3% of the fund as of Jun 30, 2026. IVOV is Vanguard S&P Mid-Cap 400 Value ETF.

Top Countries

#CountryRegionAllocation
1US
Global
95.31%
2United States
North America
1.18%
3United Kingdom
Europe
0.77%
4Bermuda
North America
0.59%
5Netherlands
Europe
0.57%
6Australia
Asia-Pacific
0.48%
7Brazil
Latin America
0.32%
8Ireland
Europe
0.20%
9Canada
North America
0.18%
10Malaysia
Asia-Pacific
0.15%
11Puerto Rico
North America
0.00%

IVOV ETF Geographic Allocation

IVOV geographic allocation spans US (95.3%), United States (1.2%), United Kingdom (0.8%), Bermuda (0.6%), Netherlands (0.6%). The fund covers 5 regions.

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

IVOV ETF Geographic Exposure

Market Development Overview

Developed Markets8 countries
4.0%
Emerging Markets3 countries
95.8%

Regional Allocation

Global
95.3%
289 holdings
North America
1.9%
6 holdings
Europe
1.5%
4 holdings
Asia-Pacific
0.6%
2 holdings
Latin America
0.3%
1 holding

Country Breakdown (Top 20)

CountryRegionStatusAllocation
USGlobalEmerging
95.31%
United StatesNorth AmericaDeveloped
1.18%
United KingdomEuropeDeveloped
0.77%
BermudaNorth AmericaDeveloped
0.59%
NetherlandsEuropeDeveloped
0.57%
AustraliaAsia-PacificDeveloped
0.48%
BrazilLatin AmericaEmerging
0.32%
IrelandEuropeDeveloped
0.20%
CanadaNorth AmericaDeveloped
0.18%
MalaysiaAsia-PacificEmerging
0.15%
Puerto RicoNorth AmericaDeveloped
0.00%