Components Global X MSCI SuperDividend Emerging Markets ETF - USD

ETF

SDEM

US37960A6771

Delayed Nyse 17:20:49 29/04/2024 BST 5-day change 1st Jan Change
25.86 USD +1.25% Intraday chart for Global X MSCI SuperDividend Emerging Markets ETF - USD +1.20% +4.29%

Composition of Global X MSCI SuperDividend Emerging Markets ETF - USD

Weight
24 EGP -4.46%-9.23%-15.49%3.42%
453.2 INR -0.56%+2.33%+20.55%3.24%
60.35 TRY +2.20%+0.84%+65.25%3.21%
31.92 TRY +2.18%+4.38%+63.36%2.98%
196 TRY +2.03%+3.98%+37.06%2.80%
21.1 CNY +1.05%-11.42%-3.70%2.72%
24.23 CNY -3.31%-11.02%+15.99%2.71%
1,015 TWD +1.00%+2.22%0.00%2.68%
59,700 KRW -0.50%+13.93%+37.56%2.48%
10.61 CNY +0.86%-6.19%+7.39%2.39%
13,950 KRW +0.72%+4.49%+17.62%2.35%
20.01 CNY -2.96%-4.80%+40.22%2.34%
14.1 BRL -4.60%-4.74%-28.38%2.33%
27.54 BRL +0.55%+0.55%-0.56%2.29%
23.27 BRL +5.20%+5.20%-6.58%2.19%
97.35 CZK +0.36%-4.72%+3.63%2.16%
14,190 KRW -1.11%+4.80%+9.15%2.16%
64.97 MXN +4.66%+6.96%+14.38%2.06%
24.94 MXN -2.65%-4.55%-18.42%2.02%
32.15 HKD +0.63%-2.13%+20.19%2.00%
5.07 HKD +2.01%+4.11%+9.03%1.97%
7.41 CNY +2.21%-6.91%+3.78%1.92%
28.62 CNY +0.28%-7.02%+12.94%1.92%
16.5 HKD -0.48%-9.93%+11.19%1.83%
7.48 CNY -2.35%-11.27%+4.76%1.83%
191.5 TWD +2.41%+11.01%+33.45%1.82%
105.8 CLP +1.22%+1.08%+2.21%1.77%
5.58 HKD +3.53%+4.69%+14.58%1.74%
63.42 BRL +0.14%+0.11%-17.88%1.72%
3.63 HKD +4.91%+8.04%+21.81%1.70%
4.47 HKD +1.82%+1.82%+21.47%1.70%
2,670 IDR +2.69%-3.26%+12.18%1.68%
12.76 BRL -1.69%-1.69%+11.15%1.68%
406.3 INR +2.46%+6.64%+57.15%1.66%
1,850 CLP +1.37%-1.33%+8.82%1.58%
18.53 BRL -5.56%-5.50%-6.36%1.56%
15.85 EUR +0.26%-4.75%+3.12%1.55%
29.22 EUR +1.81%+5.18%+16.32%1.45%
32.14 BRL -2.43%-2.46%-4.52%1.42%
55.67 CLP +1.03%+0.04%-2.32%1.40%
861.5 CZK +0.82%-2.01%-10.85%1.33%
5,025 IDR +2.97%+2.55%-11.06%1.24%
8.71 HKD -1.25%+4.94%-8.51%1.20%
4.1 HKD +7.33%+17.82%-27.82%1.14%
73.9 CLP +1.65%+5.72%+36.60%1.12%
66.84 RUB +2.28%-.--%-.--%0.00%
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ETF Ratings

Description

US37960A6771
Total Expense Ratio 0.67%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Emerging Markets Top 50 Dividend Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
15/03/2015
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 42 M€
AuM 1M 43 M€
AuM 3 months 43 M€
AuM 6 months 41 M€
AuM 12 months 39 M€
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