ALPS International Sector Dividend Dogs ETF
IDOG
#1669
ETF rank
C$0.73 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
C$59.60
Share price
0.02%
Change (1 day)
42.92%
Change (1 year)

ALPS International Sector Dividend Dogs ETF - Holdings

Etf holdings as of April 14, 2026Number of holdings: 51

Full holdings list

Weight %NameTickerISINShares Held
2.33%
Nokia OyjNOKIA FHFI00090006811208177
2.33%
Santander Bank Polska SASPL PWPLBZ0000004467948
2.32%
Bank Polska Kasa Opieki SAPEO PWPLPEKAO00016177513
2.22%
Banca Monte dei Paschi di Siena SpABMPS IMIT00055089211219517
2.14%
BHP Group Ltd.BHP AUAU000000BHP4285498
2.14%
BASF SEBAS GRDE000BASF111180027
2.12%
Banco BPM SpABAMI IMIT0005218380761464
2.10%
WH Group Ltd.288 HKKYG9600710288191000
2.08%
Aker BP ASAAKRBP NONO0010345853304643
2.08%
Woodside Energy Group Ltd.WDS AUAU0000224040458118
2.07%
BNP Paribas SABNP FPFR0000131104102556
2.06%
Carrefour SACA FPFR0000120172561585
2.06%
GSK PLCGSK LNGB00BN7SWP63370070
2.05%
Equinor ASAEQNR NONO0010096985286574
2.04%
Sanofi SASAN FPFR0000120578113977
2.03%
Bouygues SAEN FPFR0000120503174710
2.03%
EDP SAEDP PLPTEDP0AM00091978115
2.02%
Vodafone Group PLCVOD LNGB00BH4HKS396882190
2.02%
Origin Energy Ltd.ORG AUAU000000ORG51222697
2.01%
Kuehne + Nagel International AGKNIN SWCH002523886345928
2.00%
Engie SAENGI FPFR0010208488314889
2.00%
Astellas Pharma Inc.4503 JPJP3942400007671300
1.99%
Cie Generale des Etablissements Michelin SCAML FPFR001400AJ45293494
1.96%
Evolution ABEVO SSSE0012673267157726
1.96%
Enel SpAENEL IMIT0003128367896411
1.95%
Daimler Truck Holding AGDTG GRDE000DTR0CK8203955
1.95%
UPM-Kymmene OyjUPM FHFI0009005987332636
1.95%
Bayerische Motoren Werke AGBMW GRDE0005190003107087
1.95%
Orange SAORA FPFR0000133308496824
1.95%
Telia Co. ABTELIA SSSE00006679251996685
1.95%
Telefonaktiebolaget LM EricssonERICB SSSE0000108656866373
1.94%
Publicis Groupe SAPUB FPFR0000130577115055
1.93%
ORLEN SAPKN PWPLPKN0000018290039
1.92%
OMV AGOMV AVAT0000743059148059
1.92%
Mercedes-Benz Group AGMBG GRDE0007100000158643
1.91%
Fortescue Ltd.FMG AUAU000000FMG4694310
1.91%
Kyocera Corp.6971 JPJP3249600002625800
1.90%
Singapore Airlines Ltd.SIA SPSG1V619372971951715
1.88%
Nippon Steel Corp.5401 JPJP33810000032671300
1.87%
Pernod Ricard SARI FPFR0000120693127044
1.87%
Cap Gemini SACAP FPFR000012533880714
1.86%
Telenor ASATEL NONO0010063308565177
1.85%
Takeda Pharmaceutical Co. Ltd.4502 JPJP3463000004279600
1.85%
Coloplast A/SCOLOB DCDK0060448595145367
1.84%
Canon Inc.7751 JPJP3242800005359263
1.82%
China Resources Power Holdings Co. Ltd.836 HKHK08360129524045600
1.79%
British American Tobacco PLCBATS LNGB0002875804166339
1.78%
A P Moller-Maersk A/SMAERSKBDK00102445083870
1.76%
Allwyn AGALWN GAGRS419003009585690
1.75%
Imperial Brands PLCIMB LNGB0004544929234808
0.79%
Cash Equivalent4043835.43