Stock Taper
EXCHANGE TRADED FUND

BAIV

Brown Advisory International Value Select ETF
$29.13 ▲ 0.22%
+$0.06 TODAY

FUND FACTS

Manager Brown Advisory
Assets $95.08M
Expense ratio 0.60%
Inception Feb 25, 2026
Asset class Equity
Holdings 6
Volume 8.25K
Avg volume 24.47K

ABOUT THIS FUND

BAIV is an actively managed ETF focused on undervalued equity securities of companies outside the US, spanning both developed and emerging markets. Holdings will range across sectors, company sizes, and at least three countries. Using fundamental research combined with behavioral insights and advanced data tools, the fund aims to identify businesses trading below intrinsic value due to temporary challenges or market inefficiencies. Portfolio construction is designed for long-term capital appreciation and risk-adjusted returns. The issuers investment philosophy includes continuous learning and adaptation, aiming to refine decision-making and capitalize on evolving market dynamics. The approach emphasizes conviction, patience, and resilience regarding short-term market movements. In collaboration with a specialized sub-adviser, derivatives may be used for risk management and trading execution.

PRICE

$29.13 ▲ UP 0.22% (+$0.06)
$28.80$28.95$29.10$29.259:30 AM10:32 AM11:34 AM12:36 PM1:38 PM2:40 PM3:42 PM29.13

HOLDINGS

TOP 6 OF 6 · 15.12% OF THE FUND
RANK STOCK WEIGHT SHARES VALUE
01 ICLR ICON Public Limited Company 4.19% 38.58K $6.56M
03 SNY Sanofi 2.38% 83.01K $3.72M
04 DOX Amdocs Limited 2.15% 53.58K $3.37M
05 NICE NICE Ltd. 1.99% 28.57K $3.11M

SECTOR HOLDINGS

TECHNOLOGY IS 1.00% OF THE FUND

BY REGION

UNITED KINGDOM IS 16.79% OF THE FUND
United Kingdom 16.79%
France 14.97%
Netherlands 14.91%
Japan 14.07%
Germany 8.09%
Ireland 7.71%
Switzerland 3.32%
Australia 2.77%
Brazil 2.50%
United States 2.15%
Hungary 2.02%
Israel 1.99%
Denmark 1.90%
Austria 1.83%
Hong Kong 1.56%
Spain 1.35%
China 1.35%
Other 0.72%