Components Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD

ETF

PEHH

IE00B23D9570

Market Closed - Swiss Exchange 16:40:19 15/05/2024 BST 5-day change 1st Jan Change
8.99 USD +0.29% Intraday chart for Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD +2.31% +9.78%

Composition of Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD

Weight
30.8 HKD -1.91%+5.66%+10.00%0.40%
103.9 MXN 0.00%+2.13%+10.36%0.40%
79.6 SAR -0.25%-1.36%-4.67%0.40%
5.99 HKD -1.32%+4.90%+23.00%0.39%
820.3 INR +0.26%+2.29%+27.76%0.39%
361.4 INR +1.56%+3.49%+16.13%0.38%
125.5 TWD 0.00%-0.79%+4.58%0.38%
67.11 MXN 0.00%+0.92%-6.23%0.37%
115 TWD +3.14%0.00%+16.63%0.36%
56.6 TWD +4.24%+11.20%+23.72%0.36%
498 TWD -2.73%+8.62%+1.74%0.36%
15.12 HKD -1.05%+3.85%+9.88%0.36%
314.8 INR +1.81%+6.64%+32.74%0.34%
12.31 BRL +3.01%+2.16%-10.34%0.34%
188.4 ZAR +1.25%+2.97%-9.49%0.34%
10.36 HKD +0.19%+8.14%+11.64%0.34%
11.51 BRL +0.35%+2.68%-20.89%0.34%
2,302 INR +1.43%+5.06%+33.13%0.33%
18.54 BRL +8.04%-1.96%+34.25%0.33%
467.8 INR +4.27%+2.60%+24.43%0.33%
319 TWD +0.95%-0.62%+1.75%0.33%
37.9 SAR -0.39%+1.07%-6.19%0.32%
36.9 TWD +2.36%+1.37%+30.16%0.32%
1,312 INR +2.05%+1.79%+27.00%0.32%
6,375 IDR +2.82%+1.59%+5.37%0.31%
3,100 IDR -0.64%+0.65%-21.52%0.31%
273.4 INR +0.20%-0.05%+33.36%0.31%
203.5 TWD -5.35%+17.97%+41.81%0.30%
9,500 IDR -0.52%+1.33%+1.06%0.30%
308.8 ZAR -0.43%+5.36%+11.15%0.29%
73.8 TWD +3.65%+5.58%+13.89%0.28%
57.2 TRY -0.52%-7.14%+56.63%0.28%
86.45 ZAR +1.92%-7.82%-25.15%0.27%
16.6 USD +1.22%+4.27%-6.53%0.27%
104.5 TWD +0.97%+2.96%-10.68%0.26%
45.85 BRL -5.66%+0.70%-14.20%0.26%
4.39 HKD -0.90%+6.04%+17.69%0.26%
11.64 HKD -1.02%+6.59%+15.02%0.25%
33.3 TWD -0.15%+0.60%-4.45%0.25%
19.85 BRL +1.17%+2.58%+0.25%0.25%
579 TWD -0.69%-4.30%+11.99%0.24%
121.9 HKD -0.33%+7.40%+48.84%0.24%
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Description

IE00B23D9570
Total Expense Ratio 0.49%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE RAFI Emerging Market Net Total Return Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
17/11/2007
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 35 M€
AuM 1M 32 M€
AuM 3 months 27 M€
AuM 6 months 25 M€
AuM 12 months 25 M€
  1. Stock Market
  2. ETF
  3. PEHH ETF
  4. Components Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD