RIFR ETF largest country is US at 36.0% as of Mar 31, 2026

US is RIFR's largest country exposure at 36.0% of the fund as of Mar 31, 2026. RIFR is Russell Investments Global Infrastructure ETF.

Top Countries

#CountryRegionAllocation
1US
Global
36.02%
2Australia
Asia-Pacific
19.10%
3Canada
North America
10.11%
4Spain
Europe
6.97%
5United Kingdom
Europe
4.92%
6France
Europe
4.64%
7Mexico
North America
3.21%
8Japan
Asia-Pacific
2.86%
9Italy
Europe
2.77%
10Germany
Europe
2.52%
11Denmark
Europe
2.50%
12Switzerland
Europe
1.63%
13China
Asia-Pacific
1.28%
14Philippines
Asia-Pacific
1.13%
15Greece
EMEA
0.35%

RIFR ETF Geographic Allocation

RIFR geographic allocation spans US (36.0%), Australia (19.1%), Canada (10.1%), Spain (7.0%), United Kingdom (4.9%). The fund covers 5 regions.

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

RIFR ETF Geographic Exposure

Market Development Overview

Developed Markets11 countries
58.4%
Emerging Markets4 countries
41.6%

Regional Allocation

Global
36.0%
23 holdings
Europe
25.9%
16 holdings
Asia-Pacific
24.4%
19 holdings
North America
13.3%
6 holdings
EMEA
0.3%
1 holding

Country Breakdown (Top 20)

CountryRegionStatusAllocation
USGlobalEmerging
36.02%
AustraliaAsia-PacificDeveloped
19.10%
CanadaNorth AmericaDeveloped
10.11%
SpainEuropeDeveloped
6.97%
United KingdomEuropeDeveloped
4.92%
FranceEuropeDeveloped
4.64%
MexicoNorth AmericaEmerging
3.21%
JapanAsia-PacificDeveloped
2.86%
ItalyEuropeDeveloped
2.77%
GermanyEuropeDeveloped
2.52%
DenmarkEuropeDeveloped
2.50%
SwitzerlandEuropeDeveloped
1.63%
ChinaAsia-PacificEmerging
1.28%
PhilippinesAsia-PacificEmerging
1.13%
GreeceEMEADeveloped
0.35%