Columbia International ESG Equity Income ETF

Yield per half year: 1.43%
Industry: Foreign Large Cap Equities

SAP
British Petroleum
Shell plc
Sumitomo Mitsui Financial Group, Inc.
ITOCHU Corporation
Tokio Marine Holdings, Inc.
Daiichi Sankyo Company, Limited
KDDI Corporation
Hong Kong Exchanges and Clearing Limited
Canon Inc.
Sumitomo Corporation
Otsuka Holdings Co., Ltd.
NEC Corporation
Sandstorm Gold Ltd.
Dai-ichi Life Holdings, Inc.
Bridgestone Corporation
Sompo Holdings, Inc.
Asahi Group Holdings, Ltd.
Equinor ASA
Emergent BioSolutions Inc.
Other
SAP: 4.7%British Petroleum: 4.3%Shell plc: 4.2%Sumitomo Mitsui Financial Group, Inc.: 3.9%ITOCHU Corporation: 3.2%Tokio Marine Holdings, Inc.: 3.2%Daiichi Sankyo Company, Limited: 2.9%Other: 57.3%Share share by companyen.porti.ru
Download SVG
Download PNG
Download CSV
TitleIndustryShare, %P/BVP/SP/EEV/EbitdaDividend yield
SAP SAP Technology 4.68637 6.16 8.25 90.3 43.76 1.04
British Petroleum British Petroleum Materials 4.25382 1.04 0.431 214 3.95 5.3
Shell plc Shell plc Energy 4.20855 1.09 0.6914 12.21 4.01 3.89
Sumitomo Mitsui Financial Group, Inc. Financials 3.9474 0.804 2.68 12.36 -16.32 4.62
ITOCHU Corporation ITOCHU Corporation Industrials 3.19311 1.58 0.676 11.83 10.29 3.64
Tokio Marine Holdings, Inc. Tokio Marine Holdings, Inc. Financials 3.17292 1.79 1.31 13.32 8.11 3.83
Daiichi Sankyo Company, Limited Daiichi Sankyo Company, Limited Healthcare 2.92494 5.48 5.78 46.09 29.44 2.06
KDDI Corporation KDDI Corporation Communication Services 2.44981 0.835 0.8412 7.59 3.8 6.77
Hong Kong Exchanges and Clearing Limited Hong Kong Exchanges and Clearing Limited Financials 1.87155 6.25 20.97 27.3 5.42 2.93
Canon Inc. Canon Inc. Technology 1.45556 1.37 1.11 31.19 7.58 4.62
Sumitomo Corporation Sumitomo Corporation Industrials 1.23338 0.968 0.6545 11.71 11.56 5.68
Otsuka Holdings Co., Ltd. Healthcare 1.17654 1.68 2 13.57 8.43 2.28
NEC Corporation NEC Corporation Technology 1.16011 0.281 0.1689 3.93 1.75 1.33
Sandstorm Gold Ltd. Sandstorm Gold Ltd. Financials 1.10196 1.15 9.44 116.43 15.23 0.9355
Dai-ichi Life Holdings, Inc. Financials 1.09368 0.2494 0.0923 3.02 -0.214 5.04
Bridgestone Corporation Bridgestone Corporation Consumer Cyclical 1.05256 0.9668 0.8263 12.85 4.65 0
Sompo Holdings, Inc. Sompo Holdings, Inc. Financials 1.01095 1.09 0.6456 7.49 4.37 4.44
Asahi Group Holdings, Ltd. Asahi Group Holdings, Ltd. Consumer Staples 0.93306 0.9399 0.8551 13.09 8.69 3.81
Equinor ASA Equinor ASA Energy 0.86924 1.56 0.6432 7.49 2.22 12.17
Emergent BioSolutions Inc. Emergent BioSolutions Inc. Healthcare 0.86376 0.1956 0.121 18.1 -20.81 0
Daiwa House Industry Co.,Ltd. Daiwa House Industry Co.,Ltd. Real Estate 0.8554 1.17 0.5682 9.9 7.67 4.63
Logitech Logitech Technology 0.66681 0.95 1.98 6.12 0 5.67
Joy Spreader Group Inc. Communication Services 0.57165 0.6168 2.28 11.37 -3.6 0
The Kansai Electric Power Company, Incorporated The Kansai Electric Power Company, Incorporated Utilities 0.54812 0.8167 0.4694 4.31 5.32 4.07
Toyota Tsusho Corporation Toyota Tsusho Corporation Industrials 0.54489 1.4 0.3599 11.06 7.32 5.73
Shionogi & Co., Ltd. Shionogi & Co., Ltd. Healthcare 0.52547 0.6033 1.74 4.66 1.88 3.82
Eaton Vance New York Municipal Bond Fund Financials 0.49055 0.9136 6.01 6.07 86.89 4.72
Konami Group Corporation Konami Group Corporation Communication Services 0.4767 3.25 3.85 23.46 11.04 0
Sumitomo Realty & Development Co., Ltd. Real Estate 0.45627 0 0 1.1E-5 0.191 1.88
Burning Rock Biotech Limited Healthcare 0.44721 7.71 11.02 0 -10.28 0
Mitsubishi Chemical Group Corporation Mitsubishi Chemical Group Corporation 0.41824 0.6123 0.3176 11.65 5.97 5.87
Osaka Gas Co., Ltd. Osaka Gas Co., Ltd. Utilities 0.39188 0.888 0.6842 10.74 6.59 4.12
Trend Micro Incorporated Technology 0.37981 9.56 4.19 33.25 12.62 10.11
Chubu Electric Power Company, Incorporated Chubu Electric Power Company, Incorporated Utilities 0.37873 0.5617 0.4193 3.75 5.52 5.2
Makita Corporation Industrials 0.36979 1.28 1.52 25.71 9.49 1.56
Concentra Group Holdings Parent, Inc. Healthcare 0.32925 8.43 1.33 15.12 7.65 0
Sumitomo Metal Mining Co., Ltd. Materials 0.31599 0.6395 0.872 21.51 9.63 4.27
Nippon Sanso Holdings Corporation 0.31517 2.2 1.66 19.66 10.01 1.43
VEREIT, Inc. VEREIT, Inc. Real Estate 0.28055 1.8 9.9 60.6 18.43 0
Otsuka Corporation Otsuka Corporation Technology 0.26972 3.65 1.24 25.59 13.88 2.01
Kyowa Kirin Co., Ltd. Kyowa Kirin Co., Ltd. Healthcare 0.2623 1.48 2.54 21.01 8.69 3.36
Aisin Corporation Aisin Corporation Consumer Cyclical 0.26178 0.229 0.1121 6.06 1.86 5.49
Seiko Epson Corporation Seiko Epson Corporation Technology 0.25776 1.08 0.6677 16.67 5.36 4.44
Suntory Beverage & Food Limited 0.23693 1.18 0.9129 16.57 5.97 2.78
Endeavour Mining Corporation Endeavour Mining Corporation Materials 0.22368 1.47 1.64 72.07 7.03 3.84
Brother Industries, Ltd. Industrials 0.21462 1.08 0.8762 22.79 5.85 5.16
Hikari Tsushin, Inc. Industrials 0.19643 1.51 2.05 10.09 9.05 2.3
Hulic Co., Ltd. Real Estate 0.18194 1.22 1.76 10.19 15.34 5.62
SCSK Corporation SCSK Corporation Technology 0.14523 2.97 1.87 22.25 10.31 2.96
Nomura Real Estate Holdings, Inc. Nomura Real Estate Holdings, Inc. Real Estate 0.1445 0.0718 0.2085 2.25 1.91 9.67
53.821.92.4223.578.273.7

Pay for your subscription

More functionality and data for company and portfolio analysis is available by subscription