BMO Low Volatility International Equity ETF
ZLI.TO
#2407
ETF rank
โ‚น19.65 B
Marketcap
๐Ÿ‡จ๐Ÿ‡ฆ CA
Market
โ‚น2,079
Share price
-1.34%
Change (1 day)
12.72%
Change (1 year)

BMO Low Volatility International Equity ETF - Holdings

Etf holdings as of September 4, 2026Number of holdings: 105

Full holdings list

Weight %NameISINShares HeldCountry
2.28%
EURONEXT NVNL000629427425534Netherlands
2.02%
Orange S.A.FR0000133308235881France
1.88%
DEUTSCHE BOERSE AGDE000581005511980Germany
1.67%
JAPAN POST HOLDINGS CO LTDJP3752900005216435Japan
1.67%
NITORI HOLDINGS CO LTDJP3756100008166575Japan
1.58%
SOFTBANK CORPJP37320000092154310Japan
1.52%
INSURANCE AUSTRALIA GROUP LTDAU000000IAG3547479Australia
1.52%
London Stock Exchange Group PLCGB00B0SWJX3426639United Kingdom
1.47%
KDDI CORPJP3496400007161300Japan
1.47%
MS&AD INSURANCE GROUP HOLDINGS INCJP389031000091700Japan
1.47%
SECOM CO LTDJP342180000874700Japan
1.46%
OBIC CO LTDJP317340000793700Japan
1.42%
ORIENTAL LAND CO LTD/JAPANJP3198900007146790Japan
1.40%
JAPAN EXCHANGE GROUP INCJP3183200009204100Japan
1.40%
KAO CORPJP3205800000130500Japan
1.40%
Svenska Handelsbanken AB (publ)SE0007100599184557Sweden
1.37%
GETLINK SEFR0010533075132396France
1.36%
REDEIA CORP SAES0173093024162783Spain
1.34%
NIPPON BUILDING FUND INCJP30276700033508Japan
1.34%
ZURICH INSURANCE GROUP AGCH00110753943753Switzerland
1.33%
CENTRAL JAPAN RAILWAY COJP3566800003112500Japan
1.32%
KONINKLIJKE AHOLD DELHAIZE NVNL001179403774773Netherlands
1.28%
HANNOVER RUECK SEDE00084022158816Germany
1.26%
Aegon Ltd.BMG0112X1056285602Netherlands
1.26%
OSAKA GAS CO LTDJP318040000871805Japan
1.24%
MIZUHO FINANCIAL GROUP INCJP388578000146100Japan
1.22%
REPSOL SAES017351611578891Spain
1.20%
SWISSCOM AGCH00087425193198Switzerland
1.19%
TERNA - RETE ELETTRICA NAZIONALEIT0003242622225644Italy
1.17%
BAE Systems plcGB000263494692049United Kingdom
1.17%
WOLTERS KLUWER NVNL000039590330494Netherlands
1.12%
CHECK POINT SOFTWARE TECHNOLOGIES LTDIL001082411316975Israel
1.12%
SAGE GROUP PLC/THEGB00B8C3BL03163994United Kingdom
1.12%
SANOFI SAFR000012057826318France
1.12%
TOKYO GAS CO LTDJP357300000159693Japan
1.11%
ELISA OYJFI000900788456185Finland
1.09%
NINTENDO CO LTDJP375660000740200Japan
1.08%
TRYG A/SDK006063667893047Denmark
1.07%
SNAM SPAIT0003153415340778Italy
1.06%
DANONE SAFR000012064429755France
1.06%
PAN PACIFIC INTERNATIONAL HOLDINGS CORPJP3639650005443500Japan
1.05%
KERRY GROUP PLCIE000490656022357Ireland
1.02%
BRAMBLES LTDAU000000BXB1152985Australia
1.01%
IPSEN SAFR001025915011029France
1.01%
QIAGEN NVNL0015002SN048570Netherlands
0.98%
BUNZL PLCGB00B0744B3856644United Kingdom
0.98%
BUREAU VERITAS SAFR000617434864758France
0.97%
DAITO TRUST CONSTRUCTION CO LTDJP348680000095900Japan
0.97%
ENDESA SAES013067011242068Spain
0.96%
Transurban GroupAU000000TCL6200804Australia
0.95%
Telstra Group LimitedAU000000TLS2570621Australia
0.93%
Relx PLCGB00B2B0DG9754737United Kingdom
0.91%
HEINEKEN NVNL000000916522297Netherlands
0.91%
PEARSON PLCGB0006776081119032United Kingdom
0.90%
Tele2 AB (publ)SE0005190238106426Sweden
0.88%
Cash1Canada
0.88%
ENI SPAIT000313247668518Italy
0.88%
Unilever PLCGB00BVZK7T9028710United Kingdom
0.86%
National Grid PLCGB00BDR05C01114964United Kingdom
0.86%
SEVERN TRENT PLCGB00B1FH8J7244505United Kingdom
0.85%
HENKEL AG & CO KGAA PFDDE000604843220043Germany
0.84%
Eurofins Scientific SEFR0014000MR320651Luxembourg
0.84%
HALEON PLCGB00BMX86B70367351United Kingdom
0.84%
SYMRISE AGDE000SYM999916607Germany
0.83%
CHUGAI PHARMACEUTICAL CO LTDJP351940000039750Japan
0.82%
Leonardo S.p.a.IT000385640529231Italy
0.81%
UNITED UTILITIES GROUP PLCGB00B39J2M4292243United Kingdom
0.80%
Deutsche Telekom AGDE000555750850664Germany
0.78%
SGS SACH125674092414535Switzerland
0.77%
BEIERSDORF AGDE000520000018016Germany
0.77%
DASSAULT SYSTEMES SEFR0014003TT865837France
0.75%
HKT TRUST & HKT LTDHK0000093390995354China
0.73%
POWER ASSETS HOLDINGS LTDHK0006000050197605China
0.72%
Mitsubishi Heavy Industries LTDJP390000000562100Japan
0.72%
RECKITT BENCKISER GROUP PLCGB00BSZBP53021826United Kingdom
0.72%
SWISS PRIME SITE AGCH00080383899638Switzerland
0.71%
CLP Holdings LimitedHK0002007356150146China
0.71%
FRESENIUS MEDICAL CARE AGDE000578580232607Germany
0.69%
Ferrovial SENL0015001FS824722Netherlands
0.69%
GSK PLCGB00BN7SWP6357283United Kingdom
0.67%
CHOCOLADEFABRIKEN LINDT & SPRUENGLI AGCH0010570767134Switzerland
0.67%
DANSKE BANK A/SDK001027441424136Denmark
0.67%
IMPERIAL BRANDS PLCGB000454492941327United Kingdom
0.64%
Ferrari N.V.NL00115851463269Italy
0.62%
SIEMENS HEALTHINEERS AGDE000SHL100628730Germany
0.56%
NORTHERN STAR RESOURCES LTDAU000000NST869850Australia
0.55%
Universal Music Group N.V.NL0015000IY269366Netherlands
0.54%
EssilorLuxottica Sociรฉtรฉ anonymeFR00001216676544France
0.54%
GECINA SAFR001004086514323France
0.52%
TOWER SEMICONDUCTOR LTDIL00108237925149Israel
0.51%
MERCK KGAADE00065999056790Germany
0.49%
Astrazeneca PLCGB00098952926360United Kingdom
0.48%
UCB SABE00037395304093Belgium
0.46%
HONG KONG & CHINA GAS CO LTDHK00030000381050349China
0.45%
MTR Corporation LimitedHK0066009694225082China
0.42%
SITC INTERNATIONAL HOLDINGS CO LTDKYG8187G1055152331China
0.37%
CARLSBERG ASDK00101817595748Denmark
0.34%
VONOVIA SEDE000A1ML7J131532Germany
0.33%
Canada T Bill 0.01% 10/07/2026CA1350Z7EK68950000Canada
0.24%
Link REITHK0823032773100875China
0.22%
Canada T Bill 0.01% 10/21/2026CA1350Z7E425650000Canada
0.21%
Canada T Bill 0.01% 11/04/2026CA1350Z7EM25600000Canada
0.19%
JARDINE MATHESON HOLDINGS LTDBMG5073610016808Singapore
0.18%
SUN HUNG KAI PROPERTIES LTDHK001600013224500China
0.17%
Canada T Bill 0.01% 09/09/2026CA1350Z7EH30500000XX