CID Holdings — VictoryShares International High Div Volatility Wtd ETF

All 105 reported holdings of VictoryShares International High Div Volatility Wtd ETF (CID) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Pembina Pipeline Corporation1.81%$308.87K
Koninklijke KPN N.V.1.73%$294.07K
Enbridge Inc.1.61%$273.95K
Oversea-Chinese Banking Corporation Limited1.52%$259.72K
The Bank Of Nova Scotia1.47%$250.56K
Telstra Group Limited1.44%$244.92K
TC Energy Corporation1.39%$236.95K
Orange SA1.37%$234.19K
Emera Incorporated1.37%$233.49K
Telenor Asa1.35%$230.41K
Dbs Group Holdings Ltd.1.34%$228.02K
Anz Group Holdings Limited1.33%$226.33K
Infrastrutture Wireless Italiane S.p.a.1.31%$222.74K
BCE Inc.1.27%$217.14K
Enel - Spa1.27%$217.12K
Bhp Group Limited1.27%$215.89K
Imperial Brands PLC1.25%$213.35K
Terna - Rete Elettrica Nazionale Societa Per Azioni1.25%$212.94K
Wilmar International Limited1.22%$208.58K
Snam S.p.a.1.21%$206.56K
Singapore Telecommunications Limited1.20%$205.01K
Engie SA1.19%$203.58K
Poste Italiane - Societa Per Azioni1.16%$198.34K
Axa SA1.16%$196.96K
Aviva PLC1.15%$196.39K
NN Group N.V.1.14%$194.78K
Eni S.p.a.1.13%$192.45K
Vinci SA1.12%$190.52K
TELUS Corporation1.11%$190.00K
Mediobanca Banca Di Credito Finanziario Societa Per Azioni1.11%$189.81K
Sodexo SA1.10%$187.64K
Telia Company AB1.10%$187.36K
TotalEnergies SE1.10%$187.00K
SoftBank Corp.1.09%$186.28K
Capitaland Investment Limited1.09%$185.51K
Veolia Environnement SA1.06%$181.33K
Takeda Pharmaceutical Company Limited1.06%$179.87K
Singapore Airlines Limited1.05%$178.88K
Bp P.l.c.1.04%$177.47K
Deutsche Post AG1.03%$176.43K
Dnb Bank Asa1.03%$176.27K
Repsol S.A.1.03%$175.54K
Clp Holdings Limited1.02%$173.23K
Endesa, Sociedad Anonima1.01%$172.12K
Credit Agricole SA1.00%$170.28K
Intesa Sanpaolo Spa0.98%$167.61K
Nordea Bank Abp0.97%$165.98K
National Grid PLC0.97%$165.81K
Mercedes-Benz Group AG0.97%$165.24K
Oracle Corporation Japan0.96%$164.16K
Santos Limited0.95%$162.64K
Amundi SA0.95%$161.87K
Bouygues SA0.95%$161.76K
Carrefour SA0.94%$161.01K
Hsbc Holdings PLC0.94%$160.24K
OMV Aktiengesellschaft0.94%$159.93K
Edp, S.a.0.93%$158.95K
ABN AMRO Bank N.V.0.92%$156.63K
Woodside Energy Group Ltd.0.92%$156.24K
Tenaris S.a.0.92%$155.97K
Bayerische Motoren Werke Aktiengesellschaft0.90%$153.34K
Ck Hutchison Holdings Limited0.89%$152.38K
The Hong Kong And China Gas Company Limited0.89%$152.39K
Fortum Oyj0.89%$151.54K
UPM-Kymmene Oyj0.88%$150.64K
Power Assets Holdings Limited0.88%$150.55K
Swire Pacific Limited0.87%$147.79K
Ck Asset Holdings Limited0.86%$147.38K
Danske Bank A/s0.85%$144.09K
Swedbank AB0.84%$142.78K
Equinor Asa0.83%$142.33K
Vodafone Group Public Limited Company0.83%$141.94K
Bnp Paribas SA0.83%$141.81K
Aker Bp Asa0.81%$138.11K
CaixaBank, S.A.0.81%$137.94K
Fortescue Ltd.0.80%$136.78K
Svenska Handelsbanken AB0.80%$136.13K
Nutrien Ltd.0.80%$135.62K
Norsk Hydro ASA0.77%$131.17K
Magna International Inc.0.76%$130.01K
Brookfield Renewable Corporation0.76%$129.64K
Hang Seng Bank Limited0.76%$129.29K
Nippon Steel Corporation0.76%$129.07K
Verbund AG0.75%$127.86K
Japan Tobacco Inc.0.73%$125.04K
Reckitt Benckiser Group PLC0.71%$121.38K
Henderson Land Development Company Limited0.71%$121.23K
Bt Group PLC0.69%$116.98K
Renault SA0.67%$114.70K
Kering SA0.66%$112.06K
Daimler Truck Holding AG0.64%$109.71K
Bank Of Ireland Group Public Limited Company0.61%$103.98K
Hsbc US Government Money Market Fund0.57%$96.54K
MSILF Government Portfolio0.57%$96.54K
Goldman Sachs Financial Square Government Fund0.57%$96.54K
Invesco Government & Agency Portfolio0.57%$96.54K
Isuzu Motors Limited0.56%$95.40K
A.p. Moeller - Maersk A/s0.54%$92.49K
Honda Motor Co., Ltd.0.54%$91.26K
Hyundai Motor Company0.51%$87.15K
Nissan Motor Co., Ltd.0.51%$86.26K
Kia Corporation0.49%$83.82K
Mitsui O.S.K. Lines, Ltd.0.48%$82.27K
Neste Oyj0.43%$73.45K
Evraz PLC0.04%$7.56K

CID overview: performance, fees, allocation and SEC filings