Components iShares MSCI EM ESG Enhanced UCITS ETF Acc - USD

ETF

EDM2

IE00BHZPJ239

Delayed Swiss Exchange 04:55:01 04/06/2024 BST 5-day change 1st Jan Change
5.106 EUR +1.35% Intraday chart for iShares MSCI EM ESG Enhanced UCITS ETF Acc - USD -3.58% +4.21%

Composition of iShares MSCI EM ESG Enhanced UCITS ETF Acc - USD

Weight
846 TWD +3.05%-2.65%+42.66%8.24%
75,700 KRW +2.99%-1.94%-3.57%4.42%
377.4 HKD +0.64%-0.74%+28.54%3.09%
2,795 INR -7.49%-4.05%+8.11%1.77%
1,394 INR -0.87%-5.00%-9.67%1.24%
1,483 INR -5.66%-3.09%-13.23%1.01%
1,071 INR -7.63%-4.92%+7.51%0.99%
2,858 INR -0.31%-1.84%-16.01%0.95%
148.1 USD +0.83%-6.76%+0.42%0.94%
194,200 KRW +2.64%-3.62%+37.24%0.92%
28.6 TWD 0.00%-0.17%+10.85%0.89%
172,700 KRW +1.47%-3.52%-22.90%0.85%
5.61 HKD -0.18%-3.94%+20.65%0.83%
79,300 KRW -0.13%+3.93%+46.58%0.82%
2,496 INR +6.00%+4.30%-6.28%0.77%
27.55 TWD +0.18%-2.65%+0.55%0.74%
337 TWD +3.69%-2.60%+7.50%0.73%
11.32 HKD -0.18%-4.23%+3.66%0.70%
2,573 INR -2.32%+0.79%+48.77%0.65%
4.1 MYR +0.49%-0.73%-4.43%0.64%
38.2 BRL -1.38%+1.06%+2.58%0.63%
3,800 ZAR +1.92%-2.87%+21.48%0.63%
1,304 INR -0.83%-4.04%-11.09%0.61%
73.8 TWD +0.54%+0.41%+13.89%0.61%
9.93 MYR +0.30%-0.60%+11.70%0.60%
76 SAR -2.19%+1.20%-8.98%0.60%
1,270 TWD +2.83%-1.17%+25.12%0.60%
187.6 MXN -3.59%-3.31%-15.13%0.59%
1,639 INR -4.68%-3.74%-14.12%0.58%
4.43 HKD -0.89%-4.53%+15.97%0.58%
113.5 HKD +4.13%-4.62%+38.58%0.57%
11.48 BRL -3.93%-1.12%-16.53%0.55%
56.7 TWD +0.89%+1.98%+23.93%0.55%
230.8 HKD +0.09%+11.71%+7.65%0.55%
36.4 TWD +2.82%-3.06%+28.40%0.54%
1,069 INR +0.84%-1.72%-1.62%0.53%
1,307 INR -6.27%-4.67%+26.50%0.52%
39.3 TWD +0.64%-1.26%+0.26%0.51%
47,000 KRW -0.32%0.00%+17.06%0.49%
143.4 MXN -11.14%-14.09%-16.02%0.48%
288.4 ZAR -1.47%-3.04%+3.81%0.47%
77.7 SAR -0.51%+0.13%-10.17%0.47%
11.78 HKD +4.06%+0.34%-60.20%0.44%
44,300 KRW +2.31%-3.38%-18.42%0.43%
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ETF Ratings

Description

IE00BHZPJ239
Total Expense Ratio 0.18%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI EM ESG ENHANCED FOCUS Net Return Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
20/10/2019
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 4,062 M€
AuM 1M 4,046 M€
AuM 3 months 3,133 M€
AuM 6 months 2,963 M€
AuM 12 months 2,782 M€
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  4. Components iShares MSCI EM ESG Enhanced UCITS ETF Acc - USD
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