Components iShares Dow Jones U.S. ETF - USD

ETF

IYY

US4642878460

Delayed Nyse 16:49:59 30/04/2024 BST 5-day change 1st Jan Change
123.6 USD -0.74% Intraday chart for iShares Dow Jones U.S. ETF - USD +1.34% +6.08%

Composition of iShares Dow Jones U.S. ETF - USD

Weight
173.6 USD +0.07%+4.13%-9.73%6.33%
395.9 USD -1.59%-2.49%+5.69%6.28%
178.9 USD -1.15%-0.06%+18.10%3.11%
872 USD -0.63%+6.13%+76.65%2.75%
164.8 USD -0.80%+4.34%+18.21%1.86%
433.2 USD +0.12%-12.35%+22.84%1.77%
184 USD -5.17%+27.52%-25.75%1.55%
192.8 USD -0.25%+0.60%+13.64%1.11%
1,321 USD -1.30%+6.15%+18.79%1.10%
483.1 USD -1.21%-0.44%-8.06%1.09%
774.1 USD +5.01%+3.72%+32.68%1.05%
270 USD -0.66%-1.30%+3.92%0.93%
118.7 USD -0.77%-1.46%+19.29%0.90%
145.3 USD -1.03%-2.64%-7.10%0.85%
453.2 USD -0.85%-1.86%+6.49%0.79%
333.3 USD -1.05%-1.46%-3.61%0.78%
162.3 USD +0.40%+0.79%+11.08%0.78%
720.5 USD -0.80%-0.14%+9.33%0.66%
130.1 USD +0.01%+2.71%+19.54%0.62%
162.5 USD +0.59%-3.92%+5.12%0.62%
469 USD -0.87%-0.64%-21.24%0.61%
163.3 USD -1.83%+0.71%+9.95%0.59%
270.7 USD -1.83%-1.84%+3.21%0.58%
159.9 USD -0.21%+5.43%+8.91%0.54%
175.2 USD -0.52%+2.48%+3.31%0.53%
37.32 USD -0.63%-2.46%+11.15%0.52%
61.72 USD -0.51%+2.18%+5.14%0.52%
59.28 USD -1.59%+0.52%+13.03%0.51%
301.4 USD -0.57%-4.73%-13.98%0.50%
273 USD -0.19%-1.20%-7.74%0.48%
551.2 USD -1.48%-4.34%+13.52%0.48%
30.86 USD -1.58%-9.66%-38.37%0.48%
572.7 USD -0.72%-0.34%+7.89%0.46%
47.14 USD -1.35%-2.29%-6.54%0.46%
441.7 USD -0.76%-0.76%+7.54%0.45%
106.1 USD -1.06%-1.12%-3.35%0.43%
59.46 USD -0.56%-1.99%+21.34%0.40%
38.24 USD -1.56%-5.19%-12.74%0.40%
632.1 USD -0.99%+0.37%+1.31%0.39%
114.1 USD -2.09%-0.43%+8.69%0.38%
111.3 USD -0.70%-1.96%+23.47%0.37%
25.68 USD +0.14%-2.45%-10.82%0.37%
167.1 USD -1.24%+3.81%+15.81%0.36%
39.56 USD -1.31%-0.31%+4.98%0.36%
178 USD -0.69%+8.08%+4.91%0.35%
273.6 USD -1.00%+0.15%-4.89%0.35%
245.5 USD -0.52%-3.09%+6.03%0.34%
335.3 USD -4.16%-7.23%+13.98%0.34%
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ETF Ratings

Description

US4642878460
Total Expense Ratio 0.20%
Asset Class
Sector
Size
Currency
Provider
Underlying Dow Jones U.S. Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
11/06/2000
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 1,781 M€
AuM 1M 1,736 M€
AuM 3 months 1,575 M€
AuM 6 months 1,503 M€
AuM 12 months 1,397 M€
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