Components iShares MSCI Taiwan UCITS ETF - USD

ETF

ITWN

IE00B0M63623

Market Closed - Euronext Amsterdam 16:35:25 23/05/2024 BST 5-day change 1st Jan Change
80.43 EUR +0.91% Intraday chart for iShares MSCI Taiwan UCITS ETF - USD +0.90% +17.76%

Composition of iShares MSCI Taiwan UCITS ETF - USD

Weight
875 TWD +1.27%+4.29%+47.55%30.80%
1,205 TWD +1.69%+4.33%+18.72%5.33%
173 TWD +2.37%+1.47%+65.55%4.44%
329.5 TWD +0.61%+3.29%+5.10%2.09%
56 TWD +1.82%+8.11%+6.46%2.03%
284 TWD -0.53%-1.05%+26.50%2.01%
72.5 TWD -1.36%-1.76%+11.88%1.74%
38 TWD +0.26%+2.98%+34.04%1.71%
127 TWD 0.00%+1.20%+5.83%1.56%
40.1 TWD -1.11%-1.84%+2.30%1.51%
54.8 TWD -2.14%-3.18%+19.78%1.50%
161.5 TWD +3.86%+6.95%+19.63%1.42%
28.65 TWD +0.53%+2.32%+11.05%1.24%
80.8 TWD +0.62%+2.15%+8.46%1.23%
520 TWD -0.38%+4.42%+6.23%1.19%
53.7 TWD -1.47%-5.46%-19.25%1.09%
24.15 TWD -1.83%-2.42%-10.56%1.09%
67 TWD -0.74%-1.62%-15.40%1.05%
28.95 TWD +1.58%+4.89%+5.66%1.02%
624 TWD +1.63%+7.77%+20.70%1.01%
150.5 TWD -2.59%-1.63%-22.02%0.99%
2,190 TWD -1.79%-3.10%-23.69%0.95%
33.15 TWD -0.60%+4.08%+20.11%0.95%
26.4 TWD -0.75%0.00%-1.12%0.95%
510 TWD +0.79%+8.63%-2.49%0.91%
114 TWD -0.87%-0.87%+15.62%0.86%
2,720 TWD -1.09%-4.73%-16.95%0.84%
191 TWD +4.66%+4.66%+8.52%0.83%
112 TWD +8.21%+7.18%-4.27%0.82%
34 TWD -1.02%+2.10%-2.44%0.81%
539 TWD +0.37%+1.51%+14.32%0.78%
54.8 TWD -2.49%-2.84%-12.04%0.75%
606 TWD -1.30%-2.73%-14.53%0.74%
22.75 TWD +0.22%+0.89%+15.48%0.71%
18.7 TWD -1.06%0.00%+3.31%0.69%
638 TWD +0.31%+1.27%+6.87%0.69%
14 TWD -1.41%-1.75%+11.55%0.69%
25.5 TWD -0.39%-2.11%+14.09%0.68%
47.45 TWD -0.73%+2.59%+1.39%0.62%
2,740 TWD +5.59%+5.59%+50.14%0.61%
106.5 TWD -0.47%+5.97%+21.99%0.60%
361.5 TWD +0.98%+1.83%-2.82%0.60%
225.5 TWD +4.16%+3.92%+14.47%0.59%
107 TWD 0.00%+1.90%+8.52%0.59%
38.15 TWD -5.33%+4.38%-4.27%0.56%
478 TWD +8.88%+16.59%-4.40%0.55%
2,295 TWD -1.50%-5.56%-6.33%0.53%
53.3 TWD +0.57%+10.93%-0.93%0.53%
272.5 TWD -0.73%-0.73%+1.11%0.53%
1,430 TWD -1.04%+1.42%-17.82%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€
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  4. Components iShares MSCI Taiwan UCITS ETF - USD