Components iShares Core MSCI EM IMI ETF USD Acc

ETF

EIMI

IE00BKM4GZ66

End-of-day quote London S.E. 23:00:00 10/12/2023 GMT 5-day change 1st Jan Change
30.28 USD +0.02% Intraday chart for iShares Core MSCI EM IMI ETF USD Acc -0.02% +5.28%

Composition of iShares Core MSCI EM IMI ETF USD Acc

Weight
825 TWD +0.73%+3.12%+39.12%5.74%
78,300 KRW -0.13%-3.69%-0.25%3.50%
381.8 HKD +0.95%+4.37%+30.04%3.02%
2,840 INR -0.01%+0.10%+9.86%1.12%
138.7 USD -1.30%+0.76%-5.21%1.05%
1,119 INR -0.14%-0.41%+12.22%0.76%
1,423 INR -0.11%-0.30%-7.77%0.76%
185,300 KRW +0.82%+3.17%+30.95%0.72%
1,442 INR -1.32%-2.81%-15.69%0.69%
5.56 HKD -1.24%+6.11%+19.57%0.68%
64.63 BRL -0.06%+0.08%-16.28%0.65%
121.9 HKD -0.33%+5.54%+48.84%0.65%
1,155 TWD +3.59%+10.53%+13.79%0.62%
80 SAR +0.25%-0.37%-7.51%0.55%
3,898 INR -0.09%-1.97%+2.77%0.51%
172 TWD +1.47%+1.47%+64.59%0.50%
40.87 BRL -1.80%+0.54%+9.75%0.44%
33.41 BRL +1.09%+1.03%-1.65%0.41%
9,550 IDR +0.26%-1.55%+1.60%0.40%
19.98 HKD +3.20%+11.37%+28.08%0.39%
4.47 HKD -1.54%+3.71%+17.02%0.37%
35.3 SAR -0.28%-1.95%-8.80%0.37%
4,000 ZAR +3.87%+7.31%+27.88%0.37%
1,120 INR -0.20%-0.78%+1.55%0.37%
3.69 HKD -1.07%+3.36%+23.83%0.36%
223 HKD +0.18%-1.93%+4.01%0.35%
401,500 KRW +0.63%-1.23%-19.62%0.34%
1,293 INR +0.58%+0.26%+25.10%0.34%
174 MXN -2.40%+0.40%+1.87%0.32%
2,326 INR -1.00%-0.62%-12.67%0.32%
3,390 INR +0.33%-2.81%-3.97%0.31%
203.2 MXN -1.36%+0.09%-8.05%0.31%
1,646 INR -0.03%-0.22%-13.79%0.31%
4,730 IDR +1.07%+1.28%-17.38%0.31%
6,669 INR -0.10%-1.89%-8.97%0.29%
184,400 KRW +0.05%-5.34%-17.68%0.28%
29.3 SAR -0.06%-2.34%-11.36%0.27%
67.11 MXN -2.03%+2.41%-6.23%0.27%
0.89 KWD -0.45%+4.58%+4.53%0.27%
38.1 SAR +0.13%-0.13%-5.69%0.26%
246,500 KRW +0.61%+1.86%+21.13%0.26%
13.92 QAR 0.00%0.00%-15.79%0.25%
5e479d8fdce312934aefea.1SmbtJTFpbJ40QUWLP7PSK5GHf4op9ntBRxRX3BwCR8.7Fn00aeq1d9Pp1okeoiDOc0nZ7VB7-GERGkhbzI0P3O2RcPZw73XwQ-XSA

ETF Ratings

Description

IE00BKM4GZ66
Total Expense Ratio 0.18%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Emerging Markets IMI Net Total Return Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
28/05/2014
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 17,736 M€
AuM 1M 17,452 M€
AuM 3 months 16,067 M€
AuM 6 months 15,280 M€
AuM 12 months 14,755 M€
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