Components Knowledge Leaders Developed World ETF - USD

ETF

KLDW

US46143U8493

Market Closed - Nyse 21:10:00 31/05/2024 BST 5-day change 1st Jan Change
44.23 USD +0.61% Intraday chart for Knowledge Leaders Developed World ETF - USD -0.41% +5.81%

Composition of Knowledge Leaders Developed World ETF - USD

Weight
172.5 USD +0.23%-1.42%+23.49%-.--%
327.5 USD +0.76%-3.10%+34.26%-.--%
7,948 JPY +3.34%+1.40%+33.29%-.--%
61.24 EUR +0.10%-1.13%+9.95%-.--%
1,022 GBX +0.69%-3.49%-12.79%-.--%
2,124 GBX -1.12%-1.39%+12.59%-.--%
37.07 EUR -1.25%-4.66%-16.20%-.--%
125 USD -1.01%-3.46%+46.48%-.--%
13.41 EUR -1.00%-0.04%+7.07%-.--%
130.4 USD -0.77%-13.44%-6.20%-.--%
4,336 JPY -0.18%+0.98%-7.07%-.--%
7,040 JPY +0.92%+1.72%+3.56%-.--%
3,472 JPY +2.36%+0.90%+23.56%-.--%
163.8 USD +0.66%+0.02%+27.47%-.--%
3,579 JPY +0.87%+3.20%+26.72%-.--%
5,630 JPY +2.23%+1.88%+9.09%-.--%
568 USD +0.93%-2.75%+7.01%-.--%
2,543 JPY +0.89%+0.20%+19.56%-.--%
4,100 JPY +0.02%-2.47%+31.75%-.--%
4,070 JPY +2.52%+4.28%+3.43%-.--%
63.19 USD -0.24%-3.75%+9.99%-.--%
70.2 EUR +0.43%-0.57%-1.43%1.82%
200.8 SEK +1.06%-1.57%+15.70%1.71%
6,888 JPY +0.61%-0.01%+18.76%1.60%
282 SEK -0.56%-1.54%+7.76%1.59%
4.46 AUD +2.06%+3.00%+6.19%1.52%
9,772 JPY +0.66%-2.48%-3.77%1.50%
282.4 USD -0.86%-6.19%-19.53%1.46%
144.4 EUR +0.91%-1.27%+6.37%1.45%
132.4 USD -0.53%-2.85%+33.52%1.44%
2,253 JPY -0.22%+1.26%+10.85%1.32%
234.5 USD +1.95%+0.85%+18.10%1.31%
1,766 GBX +2.11%-0.45%+21.81%1.28%
44.93 AUD +2.32%-0.16%+10.07%1.25%
200.1 CAD +1.80%+2.09%-6.78%1.25%
83.55 NOK -0.54%+1.21%+5.97%1.24%
218.7 SEK +0.88%-2.58%+8.16%1.23%
2,024 JPY +0.10%+0.97%-13.33%1.21%
131.4 USD +1.77%-0.01%-12.13%1.18%
15,005 JPY +0.54%-0.60%+25.78%1.17%
144.1 USD +2.46%-0.74%+4.07%1.17%
2,916 JPY +2.26%-1.10%+36.38%1.15%
5,100 JPY +1.39%+3.34%+11.48%1.13%
232.2 USD +1.53%-0.90%+17.07%1.13%
830.7 JPY +2.19%+2.20%-3.85%1.10%
576.4 USD +2.39%-5.03%-7.77%1.10%
80.34 CHF +0.17%-2.05%+22.39%1.09%
125.9 CAD +0.91%-8.02%+13.05%1.07%
166 EUR -1.55%-7.83%+18.98%1.06%
256.8 USD +1.61%-2.28%+11.01%1.06%
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Description

US46143U8493
Total Expense Ratio 0.75%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
05/07/2015
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 123 M€
AuM 1M 126 M€
AuM 3 months 121 M€
AuM 6 months 107 M€
AuM 12 months 116 M€
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