Components Global X Green Metal Miners ETF - AUD

ETF

GMTL

AU0000233264

Delayed Australian S.E. 03:51:49 17/05/2024 BST 5-day change 1st Jan Change
8.35 AUD -0.60% Intraday chart for Global X Green Metal Miners ETF - AUD -0.95% +7.74%

Composition of Global X Green Metal Miners ETF - AUD

Weight
18.28 HKD -5.97%-0.54%+43.71%6.23%
130.2 USD -0.74%-1.03%-9.92%5.66%
2,393 GBX +1.18%+5.98%+42.48%4.81%
368.2 SEK +0.35%+1.18%+17.07%4.34%
67.16 NOK +0.30%-0.97%-1.81%4.21%
21.08 CAD +6.20%+6.90%+64.05%3.83%
5,529 JPY +0.75%+8.53%+30.29%3.80%
38.29 CNY +0.10%-1.03%-31.37%3.80%
4.16 AUD -0.95%+4.66%+5.19%3.75%
17.5 CAD +4.48%+9.03%+61.44%3.62%
42.53 USD +3.43%+5.90%+25.09%3.25%
19.43 CAD +7.53%+8.12%+79.08%3.21%
20.39 CNY +2.00%+1.04%+5.43%3.18%
4.81 USD -0.82%+3.22%-35.63%3.11%
21.04 CNY +0.48%-0.61%-16.11%2.67%
19.52 EUR +0.36%-10.95%-21.61%2.63%
35.44 CNY +0.80%-0.39%-17.20%2.57%
30.11 CNY +2.07%+2.83%-8.56%2.54%
6.92 CNY +1.32%+0.87%+26.74%2.15%
7.065 AUD -0.21%+3.67%-1.40%1.88%
12.16 HKD -1.30%+3.05%+90.30%1.60%
7.9 AUD -1.74%+3.95%-12.71%1.55%
11.2 CAD +5.46%+5.36%+73.64%1.47%
9.93 AUD -1.00%+1.90%+35.22%1.42%
48.9 USD +2.19%+1.66%-18.80%1.37%
13.98 CAD +6.15%+16.31%+91.77%1.37%
29.48 CNY +3.44%+0.99%+6.54%1.35%
31.72 CNY -2.25%-1.77%-32.94%1.26%
1.742 AUD +1.31%+1.90%+92.54%1.17%
18.02 USD -1.26%+10.21%-9.22%1.13%
42.26 CNY -0.80%-0.21%+10.63%0.96%
11.38 CNY +2.15%+7.26%-13.06%0.87%
10.52 CNY +3.54%+1.94%+3.34%0.85%
5.02 CNY +4.37%+3.93%+16.20%0.82%
15.01 CNY +1.08%+0.20%-25.77%0.63%
8.72 CNY +0.93%-0.11%-15.75%0.60%
5.67 CNY +5.19%+4.23%+26.00%0.48%
18.88 USD +5.77%+6.19%+55.52%0.41%
102.8 EUR +1.48%+0.69%+43.78%0.40%
10.7 CNY +2.20%+0.66%-8.70%0.39%
6.27 CNY +0.80%+0.97%+0.64%0.24%
2.3 CAD +5.99%+4.55%-17.27%0.17%
1.69 AUD -1.74%+16.15%-0.29%0.13%
3924e15d8da032751afa5b7650.2aoOTlLH3wVSFA7GfLmwUrzzgvcd6QbrkoOh0P6oqIk.7cJsL2H-u1BiWGKHJePFZoXK1JNeoD6g1snokabsn-2Iy0EnK7-FdDBkaQ

Description

AU0000233264
Total Expense Ratio 0.69%
Asset Class
Sector
Size
Currency
Provider
Underlying BITA GLOBAL GREEN ENERGY METALS INDEX - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
23/10/2022
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 2 M€
AuM 1M 2 M€
AuM 3 months 1 M€
AuM 6 months 1 M€
AuM 12 months 3 M€
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