Components iShares MSCI USA SRI UCITS ETF - GBP Hedged

ETF

SUAP

IE00BMWPV470

Market Closed - London S.E. 16:35:14 30/04/2024 BST 5-day change 1st Jan Change
5.61 GBX -0.80% Intraday chart for iShares MSCI USA SRI UCITS ETF - GBP Hedged +3.04% +1.52%

Composition of iShares MSCI USA SRI UCITS ETF - GBP Hedged

Weight
185.1 USD -4.62%+28.03%-25.45%4.49%
334.1 USD -0.79%-1.51%-3.66%4.22%
395.7 USD -1.63%-2.94%+5.19%4.16%
467.6 USD -1.16%-1.22%-21.70%3.29%
61.7 USD -0.55%+1.65%+4.60%2.93%
175.6 USD -0.30%+2.55%+3.38%2.83%
631.4 USD -1.10%-0.07%+0.86%2.14%
111.3 USD -0.71%-2.20%+23.17%2.01%
246.5 USD -0.12%-2.77%+6.38%1.99%
39.64 USD -1.11%-0.47%+4.81%1.91%
178.1 USD -0.66%+7.42%+4.27%1.89%
274.5 USD -0.69%+0.28%-4.76%1.87%
413.3 USD -0.49%+0.06%-6.13%1.75%
229 USD -0.85%-2.08%+2.76%1.56%
3,485 USD -0.84%-1.47%-1.84%1.54%
103.1 USD -1.84%-1.76%-22.74%1.52%
759.1 USD -0.29%-1.19%-6.69%1.47%
236.2 USD -1.15%-1.23%+25.98%1.43%
531.1 USD -0.54%-0.46%+12.49%1.34%
906.5 USD -2.40%+1.78%+15.31%1.27%
65.21 USD -1.11%-2.82%-19.59%1.23%
243.3 USD -0.25%-1.53%+4.34%1.16%
199.6 USD +0.58%-1.19%+5.19%1.13%
208.5 USD +0.88%-2.54%+30.95%1.13%
249.5 USD +0.10%-0.24%+10.30%1.12%
160 USD +0.16%+6.74%-19.12%1.10%
357.1 USD +0.18%+1.05%+19.00%1.08%
153 USD -0.88%-1.71%+14.98%0.99%
245.8 USD -1.37%-1.80%-6.04%0.96%
234.7 USD +0.53%-0.07%-3.95%0.86%
40.8 USD -1.17%-0.48%-5.79%0.81%
371 USD -0.97%-3.05%-5.13%0.78%
153.9 USD -1.22%-2.33%-0.59%0.75%
255.4 USD +3.33%+12.45%+10.46%0.72%
144.5 USD -4.67%-9.04%+8.52%0.72%
245.9 USD -1.16%-4.62%-11.27%0.69%
318.8 USD +5.96%+7.40%+29.94%0.68%
309.5 USD -0.62%-3.03%+14.43%0.67%
214.7 USD -0.95%-1.48%-11.82%0.64%
226.9 USD +2.36%+3.14%+14.22%0.62%
94.82 USD -0.52%-0.76%-17.75%0.61%
37.9 USD -1.07%-2.45%+2.62%0.60%
62.03 USD -1.08%+12.26%+7.75%0.59%
41 USD -2.97%+8.53%-1.12%0.58%
199.4 USD -1.39%+1.14%+9.45%0.58%
96.74 USD +1.01%+3.86%+7.04%0.57%
84.88 USD -1.24%-3.35%+11.23%0.57%
495.4 USD -1.97%+0.39%-10.69%0.56%
161.7 USD -3.44%-3.68%+24.14%0.56%
170 USD -2.97%-3.05%-2.72%0.53%
9628.Iwfa0eEiU5hMD5m_uPrzIkNWiHgWXUdlULl3x7I9gKg.cz6_vNZ3IK4UZa2N57-LUy4T7DtUZR8KNN0Nj9wKrZpScZe0m1oa1Rl_oQ

Description

IE00BMWPV470
Total Expense Ratio 0.23%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI USA SRI Select Reduced Fossil Fuel NTR Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
24/05/2021
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 340 M€
AuM 1M 331 M€
AuM 3 months 313 M€
AuM 6 months 284 M€
AuM 12 months 256 M€
  1. Stock Market
  2. ETF
  3. SUAP ETF
  4. Components iShares MSCI USA SRI UCITS ETF - GBP Hedged