Components iShares MSCI EAFE Small-Cap ETF - USD

ETF

SCZ

US4642882736

Delayed Nasdaq 16:38:43 29/04/2024 BST 5-day change 1st Jan Change
61.95 USD +0.98% Intraday chart for iShares MSCI EAFE Small-Cap ETF - USD +1.48% +0.07%

Composition of iShares MSCI EAFE Small-Cap ETF - USD

Weight
392.6 SEK +1.08%+7.03%+16.29%0.29%
1.738 EUR +2.75%+16.26%+56.11%0.27%
16,220 JPY -0.06%-3.51%+35.96%0.27%
259.7 GBX -0.69%+1.21%-4.66%0.26%
517 GBX -2.05%-1.49%-7.71%0.26%
25.68 EUR +1.58%+5.98%+3.67%0.25%
115.3 CHF +0.70%-0.60%-1.96%0.24%
2,042 GBX +1.59%+2.36%+8.24%0.24%
2,032 GBX -0.78%+3.67%+20.92%0.24%
3,608 GBX -0.22%+1.86%+0.73%0.23%
64.95 CHF +0.62%+4.09%+6.30%0.23%
516.6 GBX +0.39%+0.19%-10.25%0.22%
228.4 SEK -1.81%+0.97%+3.16%0.22%
879.5 GBX -0.96%+1.62%+8.10%0.22%
131.8 SEK +1.39%+1.00%-8.06%0.21%
12,920 JPY +2.26%+1.10%+54.77%0.21%
1,753 GBX +0.40%+1.56%+4.10%0.21%
429.4 CHF +0.94%+2.73%-7.42%0.21%
351.6 GBX +3.41%-0.90%+14.42%0.20%
10.78 NZD -1.01%-0.28%+7.48%0.20%
331.6 CHF -0.30%+2.79%-3.44%0.20%
253.2 GBX -1.78%-10.34%+3.69%0.19%
3,935 JPY +1.89%+3.15%+23.55%0.19%
4.12 AUD +1.73%+2.74%+4.04%0.19%
6,709 JPY +1.64%+1.13%+51.86%0.19%
3,324 GBX +1.53%+3.42%-12.04%0.19%
933.5 GBX +0.16%+0.32%-10.58%0.19%
740 GBX +1.02%+4.82%-9.71%0.19%
21.87 EUR -4.16%+1.77%-43.43%0.18%
16.69 AUD +2.39%+4.71%+21.56%0.18%
4,737 JPY +0.32%+9.40%+12.71%0.18%
9,544 JPY +4.23%+4.63%+31.10%0.18%
129.8 EUR -0.15%-3.92%+8.26%0.18%
1,226 GBX +1.41%+3.37%+16.32%0.18%
1,900 JPY 0.00%+0.82%+4.14%0.17%
5.27 AUD +2.13%-2.95%-8.82%0.17%
6.43 AUD +3.88%-0.46%-10.20%0.17%
23.74 EUR +3.31%-3.50%-9.08%0.17%
91.9 EUR -0.49%+5.39%-43.20%0.17%
391.2 GBX -0.41%+1.14%-2.10%0.17%
657.5 GBX +3.06%-1.79%+25.96%0.17%
31.36 EUR +3.16%+6.23%+18.52%0.17%
16.31 AUD +1.12%-1.87%-6.59%0.17%
112.2 EUR -1.75%-13.36%-16.64%0.17%
34.34 EUR +0.53%+2.32%+21.34%0.17%
45 EUR +1.12%+3.16%+14.62%0.17%
70.55 CHF -0.42%-0.70%-3.02%0.16%
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ETF Ratings

Description

US4642882736
Total Expense Ratio 0.40%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI EAFE Small Cap Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
09/12/2007
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 9,105 M€
AuM 1M 9,225 M€
AuM 3 months 9,201 M€
AuM 6 months 9,534 M€
AuM 12 months 10,332 M€
  1. Stock Market
  2. ETF
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  4. Components iShares MSCI EAFE Small-Cap ETF - USD