Components KraneShares Electric Vehicles & Future Mobility ESG Screened UCITS ETF - USD

ETF

KARP

IE000YUAPTQ0

Market Closed - London S.E. 16:35:24 26/04/2024 BST 5-day change 1st Jan Change
15.72 USD +2.68% Intraday chart for KraneShares Electric Vehicles & Future Mobility ESG Screened UCITS ETF - USD +0.55% -18.11%

Composition of KraneShares Electric Vehicles & Future Mobility ESG Screened UCITS ETF - USD

Weight
168.3 USD -1.11%+14.44%-32.27%4.48%
116.9 USD +1.65%+4.22%-19.10%4.36%
7,115 JPY +3.33%+7.93%+24.93%4.14%
408,500 KRW -1.21%+1.87%-13.45%4.05%
71.21 USD +1.54%+2.27%-20.63%3.99%
4.49 USD +8.72%+18.16%-50.50%3.85%
198.5 CNY +2.73%+4.03%+21.57%3.60%
9.04 USD +6.10%+4.75%-61.47%2.95%
2.46 USD +0.41%+0.41%-41.57%2.64%
1,338 JPY +0.98%-1.55%-4.19%2.60%
67.15 CAD +0.92%+1.05%-14.23%2.51%
372,000 KRW -0.13%+1.36%-12.98%2.50%
7.11 AUD -2.20%+0.57%-21.44%2.45%
3.8 AUD -1.55%-0.78%-3.80%2.42%
2.41 USD +1.26%-6.23%-46.44%2.34%
21.04 EUR +0.57%-0.19%-15.50%2.21%
36.29 CNY +1.03%+3.69%-14.00%2.13%
9.39 HKD +2.07%+6.58%+9.31%2.08%
34.3 CNY +0.79%-7.05%-19.86%1.74%
6.19 AUD -2.98%-3.13%-13.55%1.66%
28.25 CNY +2.17%-4.72%-14.21%1.49%
1.27 USD +0.79%-6.62%-45.73%1.43%
20.86 CNY +2.96%-2.20%-16.83%1.25%
70.2 AUD +2.01%+2.87%+0.29%1.14%
18.41 CNY 0.00%+0.27%-12.04%1.14%
74.36 EUR +1.56%+0.30%+18.88%1.13%
33.03 EUR +1.44%+9.61%-12.62%1.10%
236,000 KRW +0.85%+3.74%-18.06%1.10%
157,000 KRW +1.82%+4.25%-23.04%1.05%
58.2 USD +2.81%+4.30%-37.82%0.96%
12.79 USD -1.92%+5.35%+4.92%0.92%
3.25 HKD +2.52%+4.50%-10.47%0.75%
18.21 CNY +0.83%-1.83%-15.30%0.74%
35.77 EUR +5.89%-0.03%-40.66%0.72%
11.28 CNY +1.44%-3.42%-17.18%0.66%
14.84 HKD +6.76%+12.25%+8.16%0.63%
3.54 CAD +5.04%-3.01%-27.90%0.56%
22.5 CNY -0.62%-1.83%-20.47%0.53%
6.23 CNY +4.53%+0.48%+14.10%0.51%
45.74 CNY -1.38%-12.89%+19.74%0.50%
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Description

IE000YUAPTQ0
Total Expense Ratio 0.72%
Asset Class
Sector
Size
Currency
Provider
Underlying Bloomberg Electric Vehicles ESG Screened Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
24/05/2022
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 4 M€
AuM 1M 4 M€
AuM 3 months 4 M€
AuM 6 months 4 M€
AuM 12 months 5 M€
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