Components iShares Currency Hedged MSCI United Kingdom ETF - USD

ETF

HEWU

US46435G8621

Delayed Nyse 17:07:33 26/10/2023 BST 5-day change 1st Jan Change
24.85 USD +0.42% Intraday chart for iShares Currency Hedged MSCI United Kingdom ETF - USD +0.93% +0.83%

Composition of iShares Currency Hedged MSCI United Kingdom ETF - USD

Weight
12,210 GBX +0.33%+8.56%+15.40%9.20%
2,852 GBX +1.18%-1.45%+10.95%9.00%
705.5 GBX +1.15%+5.65%+11.00%6.42%
4,153 GBX +0.31%+7.61%+9.34%5.66%
511.4 GBX +0.39%-2.06%+9.90%4.71%
2,742 GBX 0.00%-2.66%-3.92%4.06%
1,705 GBX +0.01%+3.27%+17.57%3.17%
2,358 GBX +0.40%-0.08%+2.72%3.10%
5,436 GBX +0.18%+2.28%-6.92%3.05%
3,264 GBX +0.16%-2.82%+5.11%2.72%
463.2 GBX +0.42%-1.14%-1.90%2.47%
4,480 GBX +0.09%+5.30%-17.43%2.28%
1,067 GBX +1.16%+0.85%+0.99%2.03%
2,192 GBX -0.45%-1.66%+2.19%1.92%
8,952 GBX +1.27%-0.44%-3.41%1.82%
1,335 GBX -0.22%-0.20%+20.42%1.71%
52.48 GBX +0.54%+2.38%+10.17%1.52%
2,612 GBX -0.84%+24.06%+32.90%1.49%
720.3 GBX +2.17%-3.37%-19.12%1.48%
3,220 GBX 0.00%-1.59%+0.59%1.41%
5,698 GBX +0.42%-0.21%+4.58%1.35%
202.4 GBX -0.52%+5.49%+31.88%1.28%
2,818 GBX -0.93%-1.33%+16.52%1.08%
300.7 GBX +0.23%+2.63%+3.51%1.06%
403.4 GBX -1.02%-3.22%+34.72%1.04%
326.8 GBX -1.28%-1.62%+1.79%0.99%
1,696 GBX +1.41%+1.86%-8.51%0.99%
736.2 GBX +5.93%+7.70%+9.96%0.94%
67.88 GBX +0.59%-2.82%-1.31%0.94%
1,841 GBX +0.35%+1.94%+1.88%0.86%
402.2 GBX 0.00%-5.44%-8.82%0.84%
304.4 GBX -0.15%+6.44%+38.65%0.75%
235.5 GBX +0.08%-7.11%-6.37%0.73%
467.5 GBX +0.49%-0.66%+7.57%0.57%
798.8 GBX -0.20%-0.94%+2.20%0.57%
7,833 GBX -0.50%-1.95%+10.61%0.56%
1,158 GBX -0.26%-0.51%-1.11%0.55%
3,055 GBX +0.03%+0.13%-4.14%0.53%
980 GBX +0.35%-0.59%-9.23%0.52%
857.5 GBX +0.74%-1.45%-3.38%0.48%
9,035 GBX -0.32%-1.63%+11.36%0.47%
128.8 GBX +1.02%-3.26%-8.32%0.47%
1,150 GBX +0.68%-1.46%-18.96%0.46%
807.1 GBX +0.01%+1.03%+6.88%0.46%
2,209 GBX +0.14%-1.12%-3.20%0.45%
4,642 GBX +0.50%-4.95%-8.00%0.43%
8,818 GBX -0.65%-5.67%-16.09%0.42%
103.8 GBX -0.10%-3.13%-16.14%0.42%
775.3 GBX -1.24%-8.48%-22.05%0.41%
2,652 GBX +0.61%-3.15%+11.74%0.39%
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ETF Ratings

Description

US46435G8621
Total Expense Ratio 1.12%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI United Kingdom 100% Hedged to USD Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
28/06/2015
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/10/2023 )

AuM (EUR) 11 M€
AuM 1M 11 M€
AuM 3 months 8 M€
AuM 6 months 8 M€
AuM 12 months 13 M€
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