Components iShares MSCI Emerging Markets ETF - USD

ETF

0JFH

US4642872349

Market Closed - London S.E. 15:39:27 29/05/2024 BST 5-day change 1st Jan Change
42.35 USD -1.63% Intraday chart for iShares MSCI Emerging Markets ETF - USD -2.33% +5.11%

Composition of iShares MSCI Emerging Markets ETF - USD

Weight
846 TWD +3.05%-2.42%+42.66%6.71%
75,700 KRW +2.99%-0.26%-3.57%4.10%
375 HKD +4.22%-0.53%+27.72%3.54%
3,021 INR +5.59%+2.03%+16.86%1.33%
146.9 USD -1.91%-6.76%+0.42%1.23%
1,160 INR +3.47%+2.48%+16.40%0.87%
1,406 INR -0.07%-4.04%-8.88%0.87%
194,200 KRW +2.64%-2.22%+37.24%0.85%
1,572 INR +2.65%+3.63%-8.02%0.81%
5.62 HKD +1.44%-3.27%+20.86%0.81%
61.87 BRL -2.31%-5.25%-19.86%0.76%
109 HKD +3.71%-6.28%+33.09%0.75%
1,270 TWD +2.83%+6.28%+25.12%0.71%
78.1 SAR +3.31%+0.13%-9.71%0.64%
176.5 TWD +2.62%+0.28%+68.90%0.60%
3,703 INR +0.87%-3.81%-2.39%0.59%
38.58 BRL -0.40%+4.24%+3.60%0.51%
31.03 BRL -1.02%-2.57%-8.65%0.48%
9,275 IDR +0.27%-1.59%-1.33%0.48%
3,800 ZAR +1.92%-2.61%+21.48%0.45%
4.47 HKD +1.13%-4.08%+17.02%0.45%
17.9 HKD +2.40%-2.19%+14.74%0.43%
35.2 SAR +2.18%+6.51%-8.93%0.43%
3.73 HKD +0.81%-4.11%+25.17%0.43%
1,224 INR +5.36%+4.24%+10.98%0.42%
3,897 INR +6.27%+7.49%+10.50%0.40%
230.6 HKD +5.01%+10.87%+7.56%0.40%
1,394 INR +1.61%+0.39%+34.96%0.39%
374,000 KRW +1.36%-1.97%-25.13%0.39%
2,355 INR +1.12%-0.64%-11.59%0.37%
161.4 MXN 0.00%-1.87%-5.50%0.37%
194.5 MXN 0.00%+0.24%-11.97%0.36%
4,530 IDR +4.38%-4.03%-20.87%0.36%
1,719 INR +2.34%+0.94%-9.91%0.35%
6,916 INR +3.25%+1.15%-5.63%0.34%
28.9 SAR +1.58%-1.87%-12.42%0.33%
172,700 KRW +1.47%-3.52%-22.90%0.32%
63.79 MXN 0.00%-1.97%-10.87%0.31%
0.854 KWD -0.70%-1.50%+0.31%0.31%
265,000 KRW +4.74%-0.93%+30.22%0.31%
36.9 SAR +2.07%+0.96%-8.66%0.31%
52445639ae91cab639ff621.tk99ljmRswqiowDVIASHhJ6AicUStntIL-C2aP0N7tQ.giQN8wn-yVrgjnW-WVOyqcmw0Itf0yofW7__P55AhJn5ACXcSOKeetXwRQ

Description

US4642872349
Total Expense Ratio 0.70%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Emerging Markets Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
05/04/2003
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 16,093 M€
AuM 1M 17,010 M€
AuM 3 months 15,705 M€
AuM 6 months 15,217 M€
AuM 12 months 22,273 M€
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