Components Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD

ETF

PEH

IE00B23D9570

Real-time Borsa Italiana 16:44:59 31/05/2024 BST 5-day change 1st Jan Change
8.063 EUR -.--% Intraday chart for Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD -3.00% +8.87%

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

Weight
821 TWD -2.03%-5.31%+38.45%5.14%
38.79 BRL +2.75%+5.95%+4.16%3.02%
63.2 BRL -0.06%-2.89%-18.13%2.28%
4.47 HKD +1.13%-4.08%+17.02%1.95%
375 HKD +4.22%-0.64%+27.72%1.90%
5.62 HKD +1.44%-3.60%+20.86%1.88%
31.03 BRL -1.02%-2.57%-8.65%1.57%
3,021 INR +5.59%+3.01%+16.86%1.57%
3.73 HKD +0.81%-3.62%+25.17%1.19%
12.67 BRL -0.94%-2.31%-25.86%1.13%
172 TWD -2.55%-2.27%+64.59%1.07%
5.01 HKD +1.01%-2.72%+22.49%1.06%
8.04 HKD +0.88%+1.26%+55.81%1.02%
3.34 HKD +2.14%-12.11%+10.96%0.94%
950.5 INR +3.00%-0.78%+21.74%0.80%
1,235 TWD -4.26%+3.35%+21.67%0.79%
15.72 MXN -2.06%-3.08%-0.13%0.73%
1,406 INR -0.07%-4.45%-8.88%0.72%
17.9 HKD +2.40%-2.93%+14.74%0.71%
27.12 BRL -0.73%+0.15%-2.08%0.67%
174.2 INR +4.25%-0.71%+24.91%0.64%
161.4 MXN +3.69%-1.87%-5.50%0.63%
194.5 MXN -1.62%+0.24%-11.97%0.62%
157 TWD -0.95%-1.57%+16.30%0.61%
12.77 MXN -1.84%+0.39%-3.40%0.56%
4,340 IDR -0.91%-8.05%-24.19%0.50%
78.1 SAR +3.31%+0.39%-9.71%0.50%
38.1 HKD +0.40%+3.39%+42.43%0.48%
55 TWD -1.43%+0.73%+4.56%0.47%
3,897 INR +6.27%+6.75%+10.50%0.47%
21.54 BRL -1.55%-3.97%-5.36%0.47%
35.2 SAR +2.18%+4.45%-8.93%0.46%
604.5 INR +12.41%+4.40%+46.42%0.46%
274 TWD -2.66%-4.36%+22.05%0.46%
3,703 INR +0.87%-3.75%-2.39%0.45%
1,224 INR +5.36%+3.10%+10.98%0.45%
554.8 INR +12.66%+8.11%+45.01%0.44%
28.84 BRL -0.24%-1.77%+15.78%0.44%
695.9 INR +0.96%+2.68%+13.17%0.43%
28.9 SAR +1.58%-2.03%-12.42%0.42%
65 ZAR +0.81%-4.90%-11.58%0.42%
23.17 BRL -1.82%-2.81%-12.60%0.41%
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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€
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  4. Components Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD
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