Components iShares Edge MSCI Multifactor Intl Small-Cap ETF - USD

ETF

ISCF

US46434V2667

Market Closed - Nyse 21:10:00 10/05/2024 BST 5-day change 1st Jan Change
33.2 USD -0.05% Intraday chart for iShares Edge MSCI Multifactor Intl Small-Cap ETF - USD +2.26% +3.31%

Composition of iShares Edge MSCI Multifactor Intl Small-Cap ETF - USD

Weight
548.2 GBX +2.47%+6.03%-2.14%0.19%
6.44 EUR +0.31%-2.72%-6.26%0.19%
4.742 EUR -0.38%-0.92%+56.71%0.19%
25.24 EUR +3.32%+6.01%+17.67%0.19%
1,061 JPY +1.14%+1.10%+35.04%0.19%
2,728 GBX +2.33%+7.23%+6.23%0.19%
0.87 SGD +1.16%+1.75%+3.57%0.19%
48.9 GBX +1.45%-1.41%-45.82%0.19%
2,814 JPY -3.60%+6.63%+30.94%0.19%
38.36 EUR +0.74%+5.21%+1.78%0.19%
14.16 EUR +0.43%+3.06%+22.70%0.19%
33.65 EUR -2.15%+11.65%+21.35%0.19%
2,029 JPY +1.60%+1.65%+18.65%0.19%
9.55 CAD -1.24%+0.53%+3.69%0.19%
3.95 NZD +1.28%-8.35%-21.63%0.19%
2,145 JPY -1.06%-3.12%+27.53%0.19%
18.04 AUD +1.29%-1.69%+13.03%0.18%
6,690 JPY +1.36%+0.90%+27.67%0.18%
16.14 EUR +1.25%-0.74%-24.05%0.18%
5,400 JPY +2.08%+3.85%+7.36%0.18%
380 CHF +0.53%+4.68%+7.59%0.18%
155.9 CAD +1.17%+5.65%-6.97%0.18%
397.4 SEK +0.30%+5.08%+38.27%0.18%
1,030 GBX +3.41%+3.10%-7.95%0.18%
1,875 JPY +0.05%+0.70%+39.20%0.18%
2.81 AUD +0.72%+1.44%-5.70%0.18%
672.5 GBX +0.90%+5.16%+28.83%0.18%
85.6 EUR +0.71%+0.12%+19.14%0.18%
47.9 EUR +0.67%+0.10%-28.99%0.18%
2,734 JPY +4.81%+1.35%-11.42%0.18%
8,500 JPY +5.99%+6.52%+45.55%0.17%
246 EUR +0.20%+1.65%+17.70%0.17%
21.9 EUR -0.45%+0.92%+30.43%0.17%
301.6 GBX +1.69%+3.36%-5.22%0.17%
3,330 GBX +0.48%+3.80%-11.88%0.17%
8,796 ILa +1.76%+7.64%+22.95%0.17%
10.69 EUR -0.93%-0.37%+6.26%0.17%
85.35 EUR +1.19%+2.52%+8.75%0.17%
0.695 AUD 0.00%-2.80%+15.83%0.17%
508 GBX +1.50%+3.72%-16.99%0.17%
151.6 GBX +0.13%+0.40%-23.93%0.17%
2,112 GBX -0.09%+5.07%+11.95%0.17%
2,832 JPY +1.41%+1.89%+161.13%0.17%
5,020 JPY -0.20%+0.20%+32.28%0.17%
6.42 EUR +0.71%+16.30%+14.75%0.17%
53.2 EUR +0.95%+6.74%+30.46%0.17%
1,088 JPY -0.37%+4.82%+0.93%0.17%
3,965 JPY +0.89%+2.19%+5.17%0.17%
6,820 JPY +17.18%+16.18%+14.81%0.17%
5.04 EUR +3.53%+6.96%-18.64%0.17%
50aac0925c17879dee8209c8d.WI0_rWl1usmvv1sUcEuFRwefu7RySqB9VnFjDssaEUw.ab992CESyY3f7jEsBhLzM1b1woZfC5UMEAsyav5qXD4f2UybKxDxpPCPFg

ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
27/04/2015
Dividend Policy
Factor
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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