Components iShares Core S&P Mid-Cap ETF - USD

ETF

IJH

US4642875078

Market Closed - Nyse 21:10:00 10/05/2024 BST 5-day change 1st Jan Change
59.81 USD -0.07% Intraday chart for iShares Core S&P Mid-Cap ETF - USD +2.20% +7.90%

Composition of iShares Core S&P Mid-Cap ETF - USD

Weight
118.1 USD -0.78%+1.23%-5.95%0.31%
109.6 USD -3.09%-0.35%-10.87%0.31%
127.1 USD -0.43%+5.70%+68.23%0.30%
31.41 USD +0.71%+2.58%+6.84%0.30%
175.9 USD +0.36%+4.88%+1.15%0.30%
73.45 USD -0.01%+3.82%+0.67%0.30%
35.16 USD +0.77%+3.02%+7.65%0.30%
23.13 USD -0.04%-1.03%-21.54%0.30%
390 USD -1.95%+0.38%+52.01%0.30%
27.79 USD -0.50%+2.58%+12.74%0.30%
116 USD -0.21%+3.79%-4.41%0.30%
30.69 USD -0.20%-2.07%+0.10%0.30%
224.4 USD +7.64%+11.73%+46.73%0.30%
66.5 USD -0.06%-0.43%+20.01%0.30%
36.04 USD -0.47%+2.39%+6.09%0.30%
21.37 USD -1.79%-2.42%-10.92%0.30%
298.4 USD -0.26%+1.48%+4.24%0.30%
91.46 USD -0.10%-1.61%+11.39%0.29%
3.45 USD -3.90%-2.27%-66.28%0.29%
114 USD -1.20%+0.70%-6.64%0.29%
380.6 USD -0.16%-0.45%+13.66%0.29%
344.8 USD -0.61%+9.45%+67.65%0.29%
35.53 USD -3.74%-0.50%+16.72%0.29%
56.7 USD +1.39%+1.11%-16.92%0.29%
33.29 USD +3.82%+7.66%+18.47%0.29%
59.83 USD +1.01%+4.20%+7.94%0.29%
53.21 USD +0.15%+5.85%-13.00%0.29%
150.3 USD -1.03%-9.11%-23.42%0.29%
428.3 USD -0.06%+3.22%+32.26%0.29%
7.17 USD -1.92%+1.27%+9.47%0.29%
223.8 USD +1.47%+2.65%+8.75%0.29%
46.42 USD -0.17%+6.01%+11.21%0.28%
71.81 USD +1.87%+8.61%-7.65%0.28%
390.2 USD -2.26%-0.61%+27.29%0.28%
163.6 USD -0.10%-2.39%-0.75%0.28%
35.42 USD -0.59%+0.57%-9.78%0.28%
121.6 USD +2.47%+6.32%+12.19%0.28%
120.2 USD +0.21%+4.94%+10.77%0.28%
269.2 USD +0.70%+3.08%+32.69%0.28%
221.8 USD +1.57%+3.09%+11.36%0.28%
121.8 USD -2.84%-0.64%+24.51%0.28%
83.52 USD +0.68%+2.14%+20.78%0.28%
330.6 USD +0.00%+0.05%+73.46%0.28%
89.9 USD +1.08%-7.64%+17.16%0.28%
36.38 USD -0.19%+3.41%+4.15%0.28%
22.24 USD -0.27%+0.23%-4.43%0.28%
47.72 USD -0.83%+0.99%-9.40%0.28%
53.53 USD +8.82%+12.62%+10.67%0.28%
184.6 USD +1.14%+2.46%-4.69%0.28%
107.9 USD +0.64%+1.84%-0.56%0.28%
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ETF Ratings

Description

US4642875078
Total Expense Ratio 0.05%
Asset Class
Sector
Size
Currency
Provider
Underlying S&P MidCap 400 Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
21/05/2000
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

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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