Components iShares Frontier and Select EM ETF - USD

ETF

FM

US4642861458

Delayed Nyse 15:25:22 17/05/2024 BST 5-day change 1st Jan Change
28.51 USD +0.32% Intraday chart for iShares Frontier and Select EM ETF - USD +1.24% +8.37%

Composition of iShares Frontier and Select EM ETF - USD

Weight
165,600 VND +1.04%-0.78%+54.77%0.24%
396.2 PKR +1.58%+1.84%-6.46%0.24%
27,500 VND +2.04%+2.61%-4.51%0.24%
24.25 RON -5.27%-7.79%-10.19%0.23%
19,400 VND 0.00%+3.19%+2.65%0.23%
110 PHP +0.73%+1.20%-6.94%0.23%
372 PHP 0.00%-0.21%-6.77%0.23%
38,350 VND 0.00%+1.32%-3.28%0.22%
11,400 VND +0.44%+1.79%-13.64%0.22%
31.15 MAD -3.56%+1.80%+117.38%0.22%
550 MAD -0.90%+0.46%-11.58%0.22%
122.8 PKR -0.24%+1.03%+6.72%0.22%
0.105 OMR +2.94%+5.00%+9.38%0.21%
35,000 VND +0.86%+3.24%+5.11%0.20%
507.3 PKR +1.21%+12.81%+20.24%0.20%
0.299 OMR +0.34%-0.33%0.00%0.20%
63,500 VND +0.16%+1.44%+21.88%0.20%
635 PHP -2.16%+1.11%+7.63%0.20%
224 PHP +0.90%+1.91%-10.90%0.19%
2,805 PKR -0.83%+2.89%+33.80%0.19%
30.8 KES +1.48%+2.50%+40.64%0.19%
33.75 PHP +0.75%-6.77%+9.05%0.19%
29,400 VND +0.34%+1.55%+22.50%0.18%
37,100 VND +2.49%+8.48%+14.51%0.18%
61,800 VND 0.00%+0.82%+18.16%0.18%
699.5 BDT -1.37%-7.22%-42.57%0.18%
0.7 EUR +0.29%-0.85%+1.01%0.17%
134,000 VND -0.96%+2.37%+45.97%0.16%
1.8 PHP +2.27%+4.05%-8.63%0.16%
65,600 VND -0.15%-1.20%-5.48%0.16%
18,650 VND -0.27%+2.47%+41.29%0.16%
19,200 VND +1.59%+4.92%-15.42%0.16%
75,900 VND +0.53%-0.26%+0.53%0.16%
17,500 VND +1.74%+0.57%-13.37%0.16%
143.3 PKR +0.20%+0.57%+26.57%0.16%
38.4 BDT +0.52%+4.07%+7.26%0.16%
232.3 BDT -0.56%-2.15%-18.95%0.16%
2.05 JOD -0.49%+3.02%+6.77%0.15%
131.4 BDT -0.98%-5.74%-13.55%0.15%
125.6 PHP +0.80%+2.11%+21.00%0.15%
24,550 VND +0.20%+3.37%-0.41%0.15%
136 PHP -1.45%-4.09%+4.21%0.15%
18.2 PHP +0.33%+1.11%-12.92%0.14%
31,400 VND +1.78%+8.65%+14.60%0.14%
34.05 PHP +0.29%+1.34%+1.95%0.14%
52,700 VND +0.76%-0.38%-2.77%0.14%
9.3 BDT 0.00%-6.06%-16.96%0.13%
9.73 EUR -0.71%-0.10%-1.72%0.12%
10.14 PHP +2.01%-0.59%+3.05%0.12%
4d882493fa6852795.0Bs7fzxxZ5Sxyqh191qIdPZsZtWSKM8PuB5iEDA7Y4Q.kXFvOnUTA_LX_PgtswryRcECDeejWKRQ50pPQ3txItaIen8wTwgd-9yD7Q

Description

US4642861458
Total Expense Ratio 0.79%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
10/09/2012
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 385 M€
AuM 1M 422 M€
AuM 3 months 399 M€
AuM 6 months 530 M€
AuM 12 months 648 M€
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