Components Schwab Emerging Markets Equity ETF - USD

ETF

SCHE

US8085247067

Market Closed - Nyse 21:00:00 17/05/2024 BST 5-day change 1st Jan Change
27.2 USD +0.82% Intraday chart for Schwab Emerging Markets Equity ETF - USD +3.70% +9.72%

Composition of Schwab Emerging Markets Equity ETF - USD

Weight
20.9 MYR +0.10%-2.61%-4.30%-.--%
2.8 HKD +4.09%-1.41%+22.27%-.--%
707.1 INR +3.41%+2.83%+23.60%-.--%
19.94 HKD +0.61%+2.78%+27.82%-.--%
135.4 SAR -1.02%+1.20%-1.17%-.--%
108.7 CLP -0.90%+0.94%+5.04%-.--%
39 TRY +6.38%+6.85%+21.88%-.--%
12.16 AED -0.49%-1.94%-12.89%-.--%
3.65 MYR 0.00%+21.67%+35.19%-.--%
2,372 INR +1.37%+1.11%+15.57%-.--%
5.28 CNY +2.92%+2.33%+2.52%-.--%
34.85 BRL -0.43%+0.66%-9.20%-.--%
7 MYR +1.45%+1.30%-2.23%-.--%
18.2 MYR +0.44%+0.78%+4.60%-.--%
4.1 TRY +0.24%-6.82%-28.57%-.--%
589.4 INR +1.05%+11.70%+85.33%-.--%
0.38 HKD +1.33%-1.30%-5.00%-.--%
486.8 TRY +4.28%+14.60%+61.85%-.--%
2.89 HKD +0.35%+2.12%+41.67%-.--%
5,087 INR -0.99%+0.39%-4.71%-.--%
440.5 INR +0.05%-1.23%+5.29%-.--%
300 TRY +4.62%+9.99%+42.86%-.--%
7,185 INR +2.01%+16.49%+78.53%-.--%
22.4 MYR -0.53%-1.15%+2.66%-.--%
14.15 EUR -0.49%-1.94%+9.69%-.--%
835 TWD -0.71%+4.11%+40.81%8.87%
395 HKD +0.36%+6.47%+34.54%3.78%
2,871 INR +0.73%+2.01%+11.08%1.95%
1,464 INR +0.26%+1.82%-14.34%1.61%
146.2 USD +1.96%+7.28%-0.08%1.20%
125 HKD -0.48%+5.40%+52.63%1.06%
1,444 INR -0.62%+1.36%-6.39%1.05%
5.85 HKD -0.85%+3.72%+25.81%0.95%
170 TWD -0.87%+0.29%+62.68%0.83%
3,834 INR -1.71%-1.54%+1.07%0.80%
66.18 BRL +4.50%+2.94%-14.27%0.76%
80.2 SAR +0.12%+0.88%-7.28%0.74%
36.69 BRL -5.28%-11.76%-1.48%0.68%
4.71 HKD 0.00%+3.97%+23.30%0.66%
9,750 IDR +1.56%+4.00%+3.72%0.59%
3.86 HKD -0.26%+3.21%+29.53%0.57%
1,344 INR -0.06%+3.19%+30.14%0.57%
33.23 BRL +0.03%+1.78%-2.18%0.54%
35.6 SAR +1.71%-0.84%-7.89%0.51%
89.4fNmcyVE3aTXRfdxRrYAHGxnZTLCIj6mptrY3OjUcr8.m4A_O2YKqMniaMMyEPJXVzRVVx-wRV3lw5_v8Zu3FNq7lzEUCC-byaN0rg

ETF Ratings

Description

US8085247067
Total Expense Ratio 0.11%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Emerging Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
12/01/2010
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 8,112 M€
AuM 1M 7,947 M€
AuM 3 months 7,428 M€
AuM 6 months 7,416 M€
AuM 12 months 7,788 M€
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