EZU has more than 250 holdings in its portfolio, without investing more than 3% of the fund’s total assets in any single position. From a sector point of view, EZU is well diversified, with 20% invested in financials, 14.92% in industrials, 13.86% in consumer discretionary and 10.67% in consumer staples.

EZU’s top five holdings are Total SA, 2.77%; Sanofi SA, 2.53%; Siemens AG, 2.50%; SAP SE, 2.35%; and Bayer AG, 2.33%.

If you are seeking exposure to developed market countries that use the euro, I encourage you to look at the iShares MSCI EMU Index ETF (EZU) as a possible addition to your portfolio.