Components iShares MSCI Taiwan UCITS ETF - USD

ETF

ITWN

IE00B0M63623

Market Closed - Swiss Exchange 04:55:01 04/06/2024 BST 5-day change 1st Jan Change
67.34 GBX +1.58% Intraday chart for iShares MSCI Taiwan UCITS ETF - USD -2.78% +12.80%

Composition of iShares MSCI Taiwan UCITS ETF - USD

Weight
839 TWD -0.83%-3.01%+41.48%30.80%
1,240 TWD -2.36%-5.34%+22.17%5.33%
171 TWD -3.12%-7.82%+63.64%4.44%
336.5 TWD -0.15%-2.89%+7.34%2.09%
54.3 TWD -1.27%-3.72%+3.23%2.03%
275 TWD -2.65%-5.01%+22.49%2.01%
73.6 TWD -0.27%-0.27%+13.58%1.74%
36.35 TWD -0.14%-1.09%+28.22%1.71%
127 TWD 0.00%+0.79%+5.83%1.56%
39.15 TWD -0.38%-1.63%-0.13%1.51%
56.4 TWD -0.53%-0.70%+23.28%1.50%
159.5 TWD -0.93%-2.74%+18.15%1.42%
28.35 TWD -0.87%-0.18%+9.88%1.24%
79.3 TWD -1.00%+1.02%+6.44%1.23%
496 TWD -2.55%-5.88%+1.33%1.19%
51.7 TWD -0.96%-4.79%-22.26%1.09%
23.6 TWD -0.84%-2.48%-12.59%1.09%
63.7 TWD -1.85%-5.07%-19.57%1.05%
27.45 TWD -0.36%-2.14%+0.18%1.02%
595 TWD -0.50%-4.49%+15.09%1.01%
153.5 TWD -1.60%-0.97%-20.47%0.99%
2,295 TWD 0.00%+4.32%-20.03%0.95%
31.45 TWD -0.94%-4.26%+13.95%0.95%
25.55 TWD -0.20%-2.48%-4.31%0.95%
535 TWD +1.90%+6.57%+2.29%0.91%
112.5 TWD -1.32%-5.46%+14.10%0.86%
2,880 TWD -0.17%-1.87%-12.06%0.84%
187.5 TWD -0.53%-2.34%+6.53%0.83%
107 TWD -3.17%-8.15%-8.55%0.82%
32.7 TWD -0.91%-3.68%-6.17%0.81%
534 TWD -2.91%-1.29%+13.26%0.78%
51.7 TWD -1.71%-6.00%-17.01%0.75%
610 TWD -0.97%+0.33%-13.96%0.74%
23.1 TWD -0.65%-1.07%+17.26%0.71%
18.4 TWD -0.54%-1.08%+1.66%0.69%
671 TWD -0.89%+0.30%+12.40%0.69%
14 TWD -0.71%-1.41%+11.55%0.69%
24.4 TWD -1.21%-4.31%+9.17%0.68%
45.8 TWD -0.33%-1.51%-2.14%0.62%
2,535 TWD -1.17%-5.59%+38.90%0.61%
111 TWD -0.45%+5.71%+27.15%0.60%
362 TWD 0.00%-0.55%-2.69%0.60%
218.5 TWD -1.35%-4.79%+10.91%0.59%
106.5 TWD 0.00%+1.43%+8.01%0.59%
36.9 TWD -1.60%-4.40%-7.40%0.56%
461.5 TWD -2.02%-8.61%-7.70%0.55%
2,225 TWD +1.14%-4.51%-9.18%0.53%
51.2 TWD -2.48%-9.22%-4.83%0.53%
271 TWD +0.56%+0.37%+0.56%0.53%
1,535 TWD -2.23%+0.33%-11.78%0.51%
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ETF Ratings

Description

IE00B0M63623
Total Expense Ratio 0.74%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Taiwan 20/35 NTR Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
26/10/2005
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 355 M€
AuM 1M 363 M€
AuM 3 months 300 M€
AuM 6 months 272 M€
AuM 12 months 307 M€
  1. Stock Market
  2. ETF
  3. ITWN ETF
  4. Components iShares MSCI Taiwan UCITS ETF - USD
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