Components iShares Russell Top 200 Value ETF - USD

ETF

IWX

US4642894202

Market Closed - Nyse 21:10:00 09/05/2024 BST 5-day change 1st Jan Change
75.29 USD +0.83% Intraday chart for iShares Russell Top 200 Value ETF - USD +2.64% +7.30%

Composition of iShares Russell Top 200 Value ETF - USD

Weight
72.54 USD +1.23%+3.27%+9.69%0.33%
90.95 USD +0.41%+3.06%+11.98%0.33%
64.24 USD +0.88%-0.65%+7.59%0.32%
219.5 USD +1.71%+3.86%+4.21%0.31%
77.65 USD +2.37%+4.47%+4.64%0.31%
52.84 USD +1.32%+3.28%+12.43%0.31%
65.74 USD +0.77%+8.21%+14.05%0.31%
555.1 USD +2.12%+4.69%+19.90%0.31%
59.45 USD +1.38%+4.61%+8.41%0.30%
62.44 USD +0.66%+5.21%-13.54%0.30%
70.26 USD +1.05%-0.55%+7.86%0.30%
351.8 USD +2.11%+4.87%+18.98%0.30%
772.4 USD +11.51%+10.55%-4.09%0.29%
38.33 USD +1.35%+1.16%+6.77%0.28%
260.7 USD +0.91%+2.61%+7.84%0.28%
19.01 USD +1.06%+2.98%+7.77%0.27%
236.1 USD +1.75%+2.85%+6.10%0.27%
122.7 USD +0.66%-2.31%+23.37%0.26%
334.7 USD +3.25%+4.27%-26.90%0.25%
33.99 USD +0.86%+1.28%+2.01%0.25%
35.71 USD -0.50%-2.75%-3.43%0.23%
82.73 USD +2.00%+6.30%+7.00%0.22%
20.54 USD +0.44%+7.43%-4.60%0.19%
213.7 USD -1.01%+2.24%+34.18%0.18%
131.7 USD +1.64%-2.43%-9.98%0.18%
206.3 USD -0.50%+4.25%+27.31%0.16%
180.5 USD -0.01%+0.24%+24.83%0.16%
275.4 USD +2.37%+4.34%-9.71%0.16%
204.8 USD +0.61%+2.75%+8.11%0.15%
95.94 USD -0.82%+2.23%+16.63%0.14%
249.7 USD +0.94%+3.18%-4.66%0.11%
245.1 USD +0.91%+1.29%+5.23%0.11%
320.4 USD +0.45%+5.25%+2.74%0.10%
233.6 USD +0.15%+3.01%+17.76%0.09%
419 USD +0.04%+4.71%+2.97%0.07%
1,031 USD +1.02%+2.43%+8.49%0.07%
2,987 USD +0.83%+0.84%+15.53%0.06%
210.5 USD +0.24%+1.61%+17.53%0.06%
200.1 USD +0.07%+2.15%+7.32%0.06%
409 USD +0.88%+3.29%+2.28%0.05%
64.45 USD +1.00%-3.78%+4.95%0.05%
401.5 USD +1.41%+6.68%+2.81%0.04%
907.5 USD -0.63%+2.70%+15.87%0.04%
360.1 USD +0.30%+7.10%+15.02%0.03%
136.7 USD +0.54%+0.12%+12.47%0.02%
47.2 USD +0.92%+1.18%-4.08%0.01%
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ETF Ratings

Description

US4642894202
Total Expense Ratio 0.20%
Asset Class
Sector
Size
Currency
Provider
Underlying Russell Top 200 Value Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
21/09/2009
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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