Components iShares MSCI World Momentum Factor ESG UCITS ETF - Acc - USD

ETF

IWME

IE000L5NW549

Real-time Euronext Amsterdam 10:13:52 10/05/2024 BST 5-day change 1st Jan Change
5.319 USD +0.67% Intraday chart for iShares MSCI World Momentum Factor ESG UCITS ETF - Acc - USD +3.52% +16.47%

Composition of iShares MSCI World Momentum Factor ESG UCITS ETF - Acc - USD

Weight
539 EUR -0.52%+0.52%+87.94%0.24%
3,166 JPY +3.06%+2.13%+37.73%0.24%
488.7 USD +1.67%+7.22%+9.20%0.24%
799.7 USD -2.79%+4.88%+181.33%0.23%
853.8 GBX +0.19%+4.76%+9.40%0.23%
887.3 JPY +0.89%+1.24%+39.14%0.23%
217.2 USD +1.22%+4.02%+0.89%0.22%
3,638 JPY +0.28%-0.79%+16.16%0.22%
2,424 JPY +2.36%+3.72%+27.28%0.22%
3,279 JPY +1.96%+1.02%+21.18%0.22%
9,787 JPY +0.80%-2.37%+17.80%0.22%
102.6 EUR +2.47%+7.32%+26.76%0.21%
72.93 USD +1.29%+2.44%+9.03%0.20%
16.25 AUD -0.67%+0.31%+17.33%0.20%
83.85 USD +0.59%+6.34%+15.32%0.20%
1,132 DKK +1.75%-1.57%+21.25%0.20%
719.6 JPY +1.91%+2.11%+28.41%0.19%
50.9 USD -0.02%-0.33%+15.89%0.19%
4,074 JPY +0.49%+2.93%-0.66%0.19%
125.4 AUD -0.35%+1.40%+11.63%0.19%
966.1 JPY +0.48%-0.36%+34.84%0.18%
3,590 JPY -1.94%-0.66%+20.35%0.18%
2,702 GBX +0.60%+1.20%+14.20%0.17%
138.1 GBX +1.51%+7.16%-2.06%0.17%
598.2 GBX +0.44%-0.73%+5.60%0.16%
6.26 AUD -1.11%-2.19%+10.60%0.16%
38.87 EUR -0.23%+2.75%-3.14%0.16%
166 SEK +1.45%+2.31%+9.86%0.15%
25.85 CAD +0.51%+4.02%+31.42%0.15%
1,162 JPY +1.35%+2.56%+22.38%0.15%
112.4 CAD -3.58%-1.76%+5.69%0.15%
2,314 JPY +0.46%-1.32%+5.78%0.15%
3,511 JPY +0.75%-1.51%+8.43%0.14%
2,689 JPY +2.20%+3.70%+20.02%0.13%
354.7 USD +0.42%-2.33%-13.25%0.13%
1,438 JPY +1.23%+0.77%+14.17%0.13%
3,574 JPY +1.48%+2.67%+21.36%0.13%
6.73 SGD +1.66%-1.32%-4.81%0.13%
4,050 JPY +0.32%-1.32%-9.78%0.12%
26.21 AUD -0.76%+2.50%-9.68%0.12%
3,769 JPY +0.59%+2.34%-4.22%0.12%
3,020 JPY +0.99%+0.94%+28.16%0.12%
18.76 EUR +3.62%+4.54%+42.90%0.12%
14.52 EUR +2.91%+7.72%+29.54%0.11%
215.9 USD +3.80%+15.97%+84.71%0.11%
19.92 EUR +0.28%+1.89%+49.33%0.11%
6.232 EUR +1.53%+1.80%+30.22%0.11%
2,297 JPY +1.52%+3.26%-8.01%0.11%
5,304 JPY -2.01%-1.63%-32.13%0.10%
277.4 GBX +1.17%+4.69%-8.18%0.10%
942edd00cde4fa1821d.MlSjaeFhpNNCZghM7XPoaKoes4wtqbJw-nGGMZOzz3s.ajfxKtUT8JsUOTFh2UXdOvt78N5J48pB1xjcZNqDrTZ5PdQYjBbFthIUQQ

Description

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
28/10/2021
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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