Components Global X SuperDividend UCITS ETF Acc - USD

ETF

SDIU

IE000YICM5P9

Market Closed - London S.E. 16:35:21 03/05/2024 BST 5-day change 1st Jan Change
11.57 USD +0.93% Intraday chart for Global X SuperDividend UCITS ETF Acc - USD +1.48% -0.25%

Composition of Global X SuperDividend UCITS ETF Acc - USD

Weight
114.5 HKD +1.42%+6.91%+5.05%2.09%
2.94 HKD +2.44%+0.68%+2.08%1.71%
8.66 USD +0.46%-2.15%-15.51%1.63%
9.6 BRL +1.76%+5.49%-7.34%1.61%
162.5 NOK +0.81%+4.97%+7.40%1.55%
3.3 HKD -0.30%+0.30%+8.91%1.50%
18.58 AUD +1.25%-1.43%+16.42%1.46%
33.2 HKD +1.84%+3.91%+24.11%1.44%
5.7 AUD +1.24%+4.40%+15.15%1.43%
13.51 USD -0.88%+2.04%+19.77%1.40%
11.3 HKD +0.89%+3.10%+16.62%1.37%
33.08 BRL +2.38%-5.32%-14.10%1.34%
4.68 HKD +1.30%-2.50%+14.43%1.33%
3.93 HKD +0.51%-0.25%-5.53%1.28%
429 TWD +0.94%+0.23%+7.12%1.25%
4.44 USD -26.37%-23.18%-23.18%1.25%
46.55 HKD +2.20%+3.56%-1.27%1.21%
4.186 EUR -0.57%+0.92%+17.98%1.19%
11.9 EUR -0.58%-1.73%+15.31%1.19%
4.07 ZAR +0.49%+5.71%+5.71%1.19%
25.66 AUD +0.35%+0.27%-11.58%1.17%
14.35 USD +0.91%+2.94%+0.56%1.17%
11.32 USD +0.62%+0.98%+5.99%1.13%
14.25 BRL -3.59%+0.92%-27.52%1.12%
200.4 GBX +1.26%+0.53%-9.89%1.11%
839.5 PLN -0.47%-1.35%+12.68%1.10%
31.34 USD +0.22%+0.80%+2.22%1.10%
6.96 EUR +3.65%-1.00%-18.21%1.09%
11.66 USD +0.09%-0.43%-8.26%1.08%
27.28 AUD +0.40%-3.47%-12.17%1.07%
23.86 BRL +7.87%+4.15%-4.22%1.06%
0.684 AED -0.73%+3.32%-13.64%1.06%
13.66 USD +1.64%-0.58%+34.18%1.06%
12 ZAR -0.74%+1.35%-13.98%1.05%
51.47 USD -1.23%+1.70%+13.95%1.05%
7.16 USD +0.85%+3.62%-28.04%1.05%
10.95 USD +0.37%+2.05%-2.84%1.04%
14.7 USD +1.38%+4.26%-1.67%1.04%
7.42 USD +2.49%+3.20%+4.65%1.03%
5.62 HKD +1.44%+2.74%+29.79%1.02%
2.896 KWD +0.21%-0.14%-10.54%1.00%
2,730 IDR 0.00%+5.00%+14.71%0.98%
69 TWD +1.77%+0.44%+32.69%0.97%
11.42 BRL +2.61%+7.33%+5.16%0.97%
19.66 BRL +0.20%+5.53%-0.71%0.97%
16.08 USD +0.50%-0.31%+6.84%0.96%
3.66 HKD +2.52%-14.49%+11.93%0.96%
17.99 USD -0.06%+0.45%-15.42%0.95%
19.49 USD +0.62%-0.05%-7.28%0.94%
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Description

IE000YICM5P9
Total Expense Ratio 0.45%
Asset Class
Sector
Size
Currency
Provider
Underlying Solactive Global SuperDividend v2 Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
16/02/2022
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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  4. Components Global X SuperDividend UCITS ETF Acc - USD