Components First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index Fund ETF - USD

ETF

GRID

US33737A1088

Market Closed - Nasdaq 21:00:00 26/04/2024 BST 5-day change 1st Jan Change
113.6 USD +1.26% Intraday chart for First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index Fund ETF - USD +3.51% +8.47%

Composition of First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index Fund ETF - USD

Weight
45.12 CHF +0.41%+2.34%+20.94%8.12%
1,058 GBX +0.88%+1.10%-0.05%8.05%
324.3 USD +2.27%+7.02%+34.66%7.90%
217 EUR -0.18%+6.01%+19.32%7.88%
65.11 USD +1.02%+2.28%+12.96%7.37%
71.21 USD +1.54%+2.27%-20.63%3.86%
408,500 KRW -1.21%+1.87%-13.45%3.43%
407.5 USD +1.31%+5.03%+23.90%3.17%
111.9 USD +3.80%+5.12%-15.29%3.00%
7.504 EUR +0.40%-0.19%-0.66%2.39%
51.48 EUR +0.59%+3.83%+25.04%2.32%
877.4 USD +6.18%+15.14%+77.16%2.01%
38.21 CAD +0.98%+1.08%-3.75%1.90%
168.3 USD -1.11%+14.44%-32.27%1.89%
75.69 USD +1.68%+5.67%+28.09%1.74%
47.86 USD -0.50%-0.95%-5.27%1.60%
31.25 BRL +1.23%+0.32%-12.51%1.40%
117.2 USD +2.02%+2.03%+11.17%1.35%
15.72 EUR +0.93%-1.88%+5.23%1.34%
165.7 USD +1.45%+5.09%+14.54%1.19%
177.5 USD +1.27%+11.15%+4.12%1.16%
167.1 USD -1.05%-7.96%+2.19%1.13%
193.4 USD +0.22%-0.42%-7.75%1.11%
178.2 EUR +0.32%+2.31%+4.78%1.01%
162.4 USD +0.68%+9.65%+27.20%0.99%
58.2 USD +2.81%+4.30%-37.82%0.87%
1,500 TWD +0.33%-0.99%-12.28%0.83%
91.85 EUR +1.32%-0.38%-18.93%0.83%
34.78 EUR +1.81%+3.58%+22.83%0.83%
582.5 DKK +0.60%+2.46%+25.92%0.70%
11.7 EUR +0.76%+2.18%-1.43%0.59%
95.75 USD +1.44%+6.77%+26.80%0.55%
13,475 JPY +1.81%+1.09%+32.50%0.54%
35.25 BRL +0.57%-1.29%-8.16%0.54%
9.1 BRL +1.11%-2.26%-12.16%0.46%
100.6 EUR +1.41%+4.03%+26.94%0.46%
109.9 USD +0.26%+1.21%+12.90%0.45%
6.194 EUR +1.04%+2.36%-7.99%0.44%
854 TWD -1.04%-6.67%+161.16%0.43%
168.2 USD +1.26%+5.95%+16.27%0.40%
27.72 BRL +1.17%-3.74%-8.51%0.39%
32.93 EUR -0.31%+10.37%-12.98%0.39%
68.85 CHF -0.79%+0.15%-9.34%0.38%
242.7 USD +1.94%+12.82%+5.67%0.36%
16.22 EUR +0.78%+1.47%+1.83%0.26%
250,000 KRW +3.31%+2.46%+204.14%0.25%
2,540 JPY 0.00%+5.97%-0.37%0.25%
51.72 EUR +1.72%+9.53%-14.62%0.24%
12.51 EUR +0.83%+0.68%+3.37%0.23%
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Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
15/11/2009
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 922 M€
AuM 1M 824 M€
AuM 3 months 736 M€
AuM 6 months 957 M€
AuM 12 months 655 M€
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