Components iShares Global Financials ETF - USD

ETF

IXG

US4642873339

Market Closed - Nyse 21:10:00 10/05/2024 BST 5-day change 1st Jan Change
87.28 USD +0.69% Intraday chart for iShares Global Financials ETF - USD +3.76% +11.07%

Composition of iShares Global Financials ETF - USD

Weight
45.7 EUR +0.44%+2.31%+24.42%0.16%
79.74 USD +1.21%+1.50%+12.75%0.15%
54.35 CAD -0.66%+1.57%+2.12%0.15%
3,279 JPY +1.96%+1.02%+21.18%0.15%
15.08 USD 0.00%+1.00%+4.72%0.14%
887.3 JPY +0.89%+1.24%+39.14%0.14%
77.98 USD +0.36%+2.07%+12.06%0.14%
14 EUR +0.07%+2.08%+30.16%0.13%
10.04 BRL +5.46%+2.24%-3.18%0.13%
966.1 JPY +0.48%-0.36%+34.84%0.13%
169.2 USD +0.12%+3.08%+3.57%0.13%
16.25 AUD -0.67%0.00%+17.33%0.13%
54.08 CHF +2.97%+4.00%+14.70%0.12%
3,590 JPY -1.94%-0.66%+20.35%0.12%
45.74 EUR +0.57%+6.00%+27.94%0.12%
206.1 USD +0.63%+1.12%-29.62%0.12%
86.5 USD -0.44%+11.54%-28.94%0.11%
174.9 USD -0.61%+3.72%+16.67%0.11%
102.4 EUR 0.00%-1.16%+13.15%0.11%
325.6 SEK +4.36%+7.57%+14.25%0.11%
1,162 JPY +1.35%+2.56%+22.38%0.10%
6.26 AUD -1.11%-2.80%+10.60%0.10%
15.15 EUR +1.07%+5.24%+11.52%0.10%
9.85 EUR +0.26%-2.67%+19.86%0.10%
2,750 GBX +0.07%+1.78%+2.46%0.10%
176.5 USD -1.56%+0.24%+4.75%0.10%
2,689 JPY +2.20%+3.70%+20.02%0.09%
87.05 EUR +0.75%+1.81%+10.68%0.09%
23.74 USD -1.66%+1.54%-20.31%0.09%
64.2 AUD -0.30%+0.78%+1.81%0.09%
15.59 USD +2.50%+5.05%-12.61%0.09%
6.228 EUR +1.47%+1.83%+30.27%0.09%
14.45 EUR +2.41%+7.24%+28.96%0.08%
6.006 EUR -1.02%+2.53%+14.44%0.08%
70.65 EUR +1.00%-0.84%-0.80%0.08%
142.8 DKK +1.13%+3.55%-2.79%0.08%
45.86 EUR +1.69%+6.55%+16.66%0.08%
53.57 USD +0.41%+0.94%-4.01%0.08%
145.5 CHF +1.04%+3.26%+10.39%0.08%
6.224 EUR +2.60%+11.46%-15.96%0.08%
205.5 GBX -0.44%+2.54%-7.60%0.07%
3.65 AUD +0.27%+6.10%+2.53%0.07%
16.23 EUR +1.18%+4.47%+19.43%0.07%
44.32 USD +0.07%+1.60%+1.03%0.07%
520.5 GBX +0.87%+0.19%-2.75%0.07%
2,178 GBX +1.11%+1.21%+29.60%0.07%
107.7 CLP +1.81%+2.20%+4.07%0.06%
364.8 SEK +1.79%+3.64%+10.92%0.05%
373 GBX +1.36%+5.13%-13.24%0.05%
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ETF Ratings

Description

US4642873339
Total Expense Ratio 0.42%
Asset Class
Sector
Size
Currency
Provider
Underlying S&P Global 1200 Financials Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
11/11/2001
Dividend Policy
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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