Components iShares Edge MSCI World Minimum Volatility ESG UCITS ETF - Acc - USD

ETF

MVEW

IE00BKVL7778

Market Closed - Euronext Amsterdam 16:35:24 29/05/2024 BST 5-day change 1st Jan Change
6.755 USD -1.63% Intraday chart for iShares Edge MSCI World Minimum Volatility ESG UCITS ETF - Acc - USD -2.64% +2.85%

Composition of iShares Edge MSCI World Minimum Volatility ESG UCITS ETF - Acc - USD

Weight
3,137 JPY +0.16%-0.44%+30.03%-.--%
249.7 USD -0.39%-2.61%+3.51%-.--%
91.18 CHF -0.50%-4.08%-6.49%-.--%
9.23 HKD +0.22%+1.21%-0.97%-.--%
60.45 HKD +0.08%-1.95%-11.17%-.--%
2,234 JPY -0.73%-5.10%+4.98%-.--%
441 USD -1.32%-1.47%+8.38%-.--%
167 USD -1.54%-3.82%+2.14%1.53%
46.08 USD -0.44%-2.86%-8.80%1.51%
194.8 USD -2.41%-3.83%+14.27%1.48%
4,269 JPY -0.16%-1.34%-4.81%1.46%
429 USD -0.31%-0.36%+14.08%1.43%
357.1 USD -0.77%-3.76%+14.06%1.41%
484.7 USD -3.76%-7.03%-7.93%1.39%
125.9 USD -0.15%-3.97%+15.48%1.38%
202 USD -0.99%-4.20%+6.59%1.37%
63.5 USD -0.68%-6.33%-21.61%1.37%
203.5 USD -0.91%-3.15%+5.42%1.33%
171.2 USD -1.27%-5.99%+0.79%1.29%
240 USD -1.34%-5.50%+3.04%1.28%
293.8 USD -1.33%-4.34%-16.28%1.27%
66.49 USD -0.28%-5.49%+2.07%1.27%
910.6 USD -3.04%-5.53%+9.88%1.25%
7,107 JPY -2.48%-2.16%+23.20%1.24%
1,871 JPY -0.19%-1.42%+6.34%1.20%
161.6 USD -0.90%-3.67%+10.31%1.14%
177.8 EUR -0.20%-3.79%-4.64%1.11%
471 CHF +0.49%-0.13%+7.14%1.09%
39.1 USD -0.66%-1.73%+3.71%1.09%
91.91 USD -1.39%-4.39%+1.03%1.05%
558.9 USD +1.75%+0.27%+20.72%1.05%
73.2 USD -1.80%-1.52%+19.71%1.03%
219.1 USD +1.32%+1.07%+6.66%1.02%
175.8 EUR -0.79%-1.95%+26.05%1.01%
144.4 USD +0.04%-5.90%-7.85%1.01%
531 USD -0.38%-3.00%-2.60%0.97%
139.3 USD -2.23%-5.55%-12.44%0.96%
128.4 SEK -1.65%-1.72%+2.91%0.93%
43.58 EUR -0.50%-0.11%+10.52%0.93%
296.4 USD -1.25%-4.19%+2.93%0.90%
51.89 USD -0.80%-3.76%+13.52%0.88%
967.3 USD -0.61%-1.68%+10.13%0.87%
325.9 USD -0.85%-1.42%-5.96%0.85%
40.25 USD -0.59%-4.94%-21.56%0.80%
103.3 USD -0.82%-3.73%+9.25%0.78%
4,211 CHF -0.19%+0.81%+20.87%0.77%
137.1 CAD -2.43%-4.53%-3.41%0.76%
222.1 CAD -1.33%-2.36%+8.96%0.74%
210.1 USD -0.14%-2.99%+10.28%0.73%
56.77 USD -0.05%-5.08%-8.02%0.73%
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ETF Ratings

Description

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
18/04/2020
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 540 M€
AuM 1M 573 M€
AuM 3 months 682 M€
AuM 6 months 771 M€
AuM 12 months 723 M€
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