Components First Trust Latin America AlphaDEX Fund ETF - USD

ETF

FLN

US33737J1253

Market Closed - Nasdaq 21:15:00 26/04/2024 BST 5-day change 1st Jan Change
19.75 USD +1.91% Intraday chart for First Trust Latin America AlphaDEX Fund ETF - USD +3.03% -5.00%

Composition of First Trust Latin America AlphaDEX Fund ETF - USD

Weight
14.14 MXN +0.28%+3.36%+6.96%-.--%
14.76 BRL +1.37%+2.36%-23.76%-.--%
41.65 BRL +3.04%+2.76%+11.84%-.--%
48.77 MXN +3.61%-0.97%+4.41%-.--%
26.5 BRL -0.41%-0.26%-0.04%4.35%
138.4 MXN +4.28%+0.16%-27.00%3.46%
24.94 MXN -2.65%-4.55%-18.42%3.12%
43.48 CLP +0.07%+0.88%+1.12%3.10%
1,850 CLP +1.37%-1.33%+8.82%3.02%
55.67 CLP +1.03%+0.04%-2.32%2.96%
137.4 MXN -0.99%-2.79%+18.86%2.96%
49.25 BRL -0.28%+0.92%+6.95%2.95%
18.63 BRL -5.05%-3.07%-5.91%2.89%
27.55 BRL +0.58%-0.58%-0.52%2.80%
1,618 CLP +1.44%-0.19%-2.24%2.72%
205.1 MXN +3.46%-0.21%-7.21%2.71%
62.74 BRL -0.93%-0.98%-18.73%2.66%
346.9 MXN +2.83%+5.68%+11.50%2.65%
22.91 BRL +3.57%+3.57%-8.03%2.41%
59.58 BRL -1.60%-2.66%+7.10%2.40%
6,789 CLP +1.78%-2.80%+5.91%2.31%
48 BRL -1.64%-1.46%-10.18%2.11%
129.1 MXN -0.22%+10.52%+25.88%1.81%
27,450 CLP +0.24%+2.43%+15.09%1.80%
12.59 BRL -3.00%-3.97%+9.67%1.68%
17.49 BRL +0.40%+1.16%-2.45%1.39%
9.1 BRL -3.54%-2.26%-12.16%1.36%
31.25 BRL +0.03%+0.32%-12.51%1.31%
68.92 MXN -2.24%-0.23%-19.81%1.27%
3.78 BRL +3.85%+5.00%-15.06%1.09%
71.26 MXN -0.64%+5.57%-11.75%0.77%
173.2 MXN -1.08%-0.09%+1.43%0.71%
13.88 BRL +1.61%+1.76%-18.78%0.71%
106.7 MXN +3.62%+4.10%+13.30%0.67%
25.62 BRL +2.69%+0.67%-12.86%0.64%
16.18 MXN +2.80%+3.65%+2.80%0.62%
20.84 BRL +1.17%-1.93%-9.19%0.60%
189.6 MXN +3.50%+18.26%+5.47%0.54%
2a6189b.RvuknKn92mafO9TQZrka4_FWqzuuIa5mBRiwizTdYmM.c5bT35uVk1KtDYzgLo5SsrQ7zFbER9weU3b2wwGoLTMRvvypxr6FMvd_5A

ETF Ratings

Description

US33737J1253
Total Expense Ratio 0.80%
Asset Class
Sector
Size
Currency
Provider
Underlying NASDAQ AlphaDEX Latin America Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
17/04/2011
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 61 M€
AuM 1M 60 M€
AuM 3 months 67 M€
AuM 6 months 69 M€
AuM 12 months 76 M€
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