Components FlexShares Emerging Markets Quality Low Volatility Index Fund ETF - USD

ETF

QLVE

US33939L6395

Market Closed - Nyse 21:10:00 26/04/2024 BST 5-day change 1st Jan Change
24.04 USD +0.31% Intraday chart for FlexShares Emerging Markets Quality Low Volatility Index Fund ETF - USD +2.26% +3.04%

Composition of FlexShares Emerging Markets Quality Low Volatility Index Fund ETF - USD

Weight
16.7 SAR -0.95%+0.24%+4.64%-.--%
343.2 SAR -1.10%-1.66%-1.89%-.--%
108.8 SAR +0.18%-6.04%-21.27%-.--%
1,507 INR -0.89%-1.07%+19.62%-.--%
130,238 INR +0.47%+0.84%+0.51%-.--%
51.8 SAR -0.19%-0.19%+5.61%-.--%
782 TWD +2.09%+4.27%+31.87%6.52%
76,700 KRW +0.52%-1.16%-2.29%3.40%
348.4 HKD +2.65%+14.68%+18.66%3.07%
75.55 USD +0.59%+9.38%-2.53%2.63%
3,821 INR -0.80%-0.13%+0.74%2.57%
4.97 HKD -0.40%+2.05%+6.88%1.86%
2,222 INR -0.43%-0.48%-16.59%1.42%
1,474 INR -2.01%+1.82%+0.53%1.21%
3.46 HKD -0.86%+2.98%+16.11%1.10%
123.5 TWD 0.00%+0.41%+2.92%1.07%
292.2 INR -0.36%+3.76%+23.21%1.00%
4.15 HKD -0.48%+0.97%+8.64%0.99%
8,974 INR +2.74%+1.93%+32.03%0.94%
80.5 TWD +0.12%+0.37%+0.88%0.90%
31.95 HKD -0.47%-2.74%+19.44%0.87%
26.95 TWD +0.19%+1.13%-1.64%0.87%
2,844 INR -0.60%+1.27%-16.41%0.85%
4,492 INR -0.01%+6.56%+8.55%0.84%
6,253 INR +0.58%+5.23%+7.85%0.84%
2,690 INR -0.07%+6.05%+16.72%0.83%
1,409 INR +0.21%+4.71%+13.07%0.82%
5.5 AED 0.00%-3.17%-3.85%0.82%
103.5 TWD +0.98%+1.47%+4.97%0.81%
0.863 KWD -0.69%+1.65%+1.36%0.81%
96.16 MAD -0.34%-0.66%-3.84%0.81%
2,855 INR +1.99%+7.72%+12.89%0.81%
275.5 TWD +0.36%+2.04%+2.23%0.80%
35.25 BRL +0.57%-1.29%-8.16%0.80%
13.8 SAR -1.43%-5.22%-11.42%0.79%
4.52 HKD +0.22%+2.26%-4.24%0.79%
18.05 TWD 0.00%+1.12%+0.84%0.79%
18.02 MYR +0.11%-0.44%+3.56%0.78%
29.95 TWD +0.67%+2.22%-2.44%0.78%
2.37 AED +0.85%-0.42%-3.66%0.78%
38.35 SAR +0.26%-2.29%-5.07%0.78%
0.723 KWD -0.96%-0.55%+8.54%0.78%
2,850 IDR -3.39%+6.34%0.00%0.77%
13.85 QAR -0.36%-1.77%-16.21%0.76%
12,630 KRW -0.16%+0.72%+1.53%0.76%
7.83 HKD -0.63%-0.89%+11.54%0.76%
3,584 INR +0.33%+0.60%-2.49%0.76%
129.3 USD +2.80%+13.94%-11.62%0.75%
26.2 HKD +2.34%+6.94%-9.81%0.75%
47.oSe9JXj_3YOZVLsR_54OFbslLuC5m-ZT5fCxCia8lsU.1nTyYx67i7H-Eckoudd9LM0Vf7f3rK9jnIGGSHT3r5XbdoVsKaqR9qob0A

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
15/07/2019
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 26/03/2024 )

AuM (EUR) 11 M€
AuM 1M 20 M€
AuM 3 months 13 M€
AuM 6 months 13 M€
AuM 12 months 17 M€
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  4. Components FlexShares Emerging Markets Quality Low Volatility Index Fund ETF - USD