Components iShares MSCI AC Far East ex-Japan UCITS ETF - USD

ETF

IFFF

IE00B0M63730

Market Closed - London S.E. 16:35:04 09/05/2024 BST 5-day change 1st Jan Change
51.26 USD +1.02% Intraday chart for iShares MSCI AC Far East ex-Japan UCITS ETF - USD +4.48% +6.28%

Composition of iShares MSCI AC Far East ex-Japan UCITS ETF - USD

Weight
106.2 HKD -0.38%+2.21%+16.64%0.18%
17.56 HKD +2.09%+1.50%+38.05%0.18%
21.03 USD +2.99%-2.61%-1.06%0.18%
444 TWD -0.22%-3.79%-15.11%0.18%
282,500 KRW 0.00%-0.35%-21.31%0.18%
6.13 HKD +0.49%+2.68%+2.51%0.18%
85.2 HKD +2.47%+8.95%+5.97%0.17%
2.57 SGD -0.39%-1.15%-15.18%0.17%
148,400 KRW -2.50%-1.13%+14.59%0.17%
16.86 HKD +1.93%+2.68%-19.71%0.17%
93,300 KRW -0.64%+0.43%-8.35%0.17%
6.75 MYR +0.15%+2.12%+15.38%0.17%
6.76 HKD +1.65%+4.32%-6.89%0.17%
45 HKD +0.67%-0.11%-0.55%0.16%
1.95 SGD +0.52%-0.51%-5.34%0.16%
9.84 HKD +2.71%+0.72%+6.03%0.16%
190.5 TWD +0.79%+4.67%+8.24%0.16%
112 TWD -2.61%-1.32%+13.59%0.16%
6.62 SGD -0.75%-3.78%-6.36%0.16%
101 TWD -0.49%+1.00%-13.68%0.16%
2,625 TWD -5.23%-15.87%-19.85%0.16%
32.65 TWD -1.36%+1.87%-6.31%0.16%
6.67 SGD -0.15%+1.99%+1.68%0.15%
532 TWD +0.76%+2.70%+12.83%0.15%
5,125 IDR +1.49%-0.49%-9.29%0.15%
56.1 TWD -0.53%+1.08%-9.95%0.15%
609 TWD -1.46%-1.77%-14.10%0.15%
20.05 HKD +1.26%+7.33%-12.25%0.15%
38.6 HKD +4.89%+7.22%+12.87%0.15%
91,500 KRW -0.22%+2.35%+5.29%0.14%
648 TWD -2.11%+3.68%+8.54%0.14%
39.86 USD -0.09%-0.05%+18.78%0.14%
14.72 HKD +1.10%+0.96%+6.98%0.14%
22.35 TWD -1.54%+1.82%+13.45%0.14%
9.18 SGD +0.44%-1.92%-6.61%0.14%
42.9 HKD +5.54%+11.72%-39.45%0.14%
13.7 TWD -0.72%+0.37%+9.16%0.14%
18.5 TWD -1.07%+3.06%+2.21%0.13%
154,600 KRW -1.28%-0.83%+0.91%0.13%
13.38 USD +1.02%+2.64%+48.67%0.13%
111,400 KRW -1.42%+0.27%-20.60%0.13%
9.87 HKD +1.33%+3.57%+14.90%0.13%
40.55 HKD +1.38%+6.01%-5.15%0.13%
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Description

IE00B0M63730
Total Expense Ratio 0.74%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Daily Net Total Return AC Far East ex Japan Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
27/10/2005
Dividend Policy

Distribution

Retail investor
Qualified 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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