Components iShares Edge MSCI Min Vol Emerging Markets Index ETF - CAD

ETF

XMM

CA46433Y1051

Delayed Toronto S.E. 20:59:58 09/05/2024 BST 5-day change 1st Jan Change
27.89 CAD -0.29% Intraday chart for iShares Edge MSCI Min Vol Emerging Markets Index ETF - CAD +0.54% +5.88%

Composition of iShares Edge MSCI Min Vol Emerging Markets Index ETF - CAD

Weight
126.5 TWD +0.80%+2.02%+5.42%1.51%
105.5 TWD +0.48%+0.96%+7.00%1.49%
3.74 HKD 0.00%+9.36%+24.25%1.41%
27.8 TWD -0.36%+1.46%+1.46%1.39%
275 TWD +0.18%+0.18%+2.04%1.38%
3.73 HKD -0.27%+6.88%+25.17%1.35%
38.1 SAR -0.65%+2.14%-5.69%1.35%
3,948 INR +1.38%+2.72%+4.07%1.29%
1,287 INR -1.23%+0.77%+24.56%1.24%
83.6 TWD -1.30%+3.21%+4.76%1.17%
1,313 INR -0.25%-2.61%-10.45%1.16%
0.894 KWD +1.36%+3.95%+5.00%1.13%
26.6 TWD 0.00%+0.76%-0.37%1.11%
78,400 KRW -1.01%+1.03%-0.13%1.10%
9,525 IDR +1.60%-3.30%+1.33%1.07%
4.54 HKD +0.22%+6.07%+18.85%0.96%
78.9 SAR -0.13%-2.59%-8.79%0.93%
3.39 AED 0.00%-2.02%-8.38%0.92%
9.87 MYR 0.00%+0.71%+11.02%0.90%
26.2 TWD -0.19%+8.04%+17.23%0.89%
2,360 INR +0.14%+6.54%-11.38%0.87%
5.67 AED +0.35%+0.53%-0.87%0.84%
29.95 SAR 0.00%-0.17%-9.24%0.81%
25.62 CNY +0.55%-0.66%+9.77%0.79%
53.1 SAR +0.19%+2.51%+8.26%0.78%
36.5 TWD +0.27%+3.99%-8.41%0.77%
1,423 INR -0.10%+0.50%-7.74%0.76%
46.35 HKD +0.76%-2.73%+2.66%0.75%
156,000 KRW -0.45%-1.76%-8.24%0.74%
90,100 KRW -0.55%-2.17%+3.68%0.73%
128,882 INR +1.01%+0.25%-0.54%0.70%
13.92 QAR +0.29%-0.93%-15.79%0.69%
13.36 SAR -0.60%-2.62%-14.25%0.69%
781,000 KRW -0.76%+1.30%+2.76%0.67%
8,992 INR +0.12%-1.24%+32.29%0.66%
352 TWD 0.00%-1.40%-5.38%0.65%
0.743 KWD -0.13%+3.19%+11.54%0.64%
2,966 INR +1.57%+0.44%+9.24%0.63%
2.83 HKD +1.80%+7.60%+17.92%0.63%
1,525 INR +1.23%+0.92%+21.09%0.61%
1,415 INR +5.61%-0.71%+13.51%0.61%
5,919 INR +0.03%-6.79%+2.08%0.61%
80.8 SAR +1.00%-1.34%-3.23%0.60%
0.97 HKD -1.02%+4.30%+18.29%0.59%
5.63 HKD -0.18%+8.69%+21.08%0.59%
3,254 INR -1.12%-7.95%-11.47%0.59%
112 SAR +0.18%-2.61%-18.96%0.59%
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Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
22/07/2012
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 38 M€
AuM 1M 41 M€
AuM 3 months 39 M€
AuM 6 months 42 M€
AuM 12 months 45 M€
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