Components Simplify US Equity PLUS GBTC ETF - USD

ETF

SPBC

US82889N8487

Delayed Nasdaq 15:02:59 21/05/2024 BST 5-day change 1st Jan Change
34.09 USD 0.00% Intraday chart for Simplify US Equity PLUS GBTC ETF - USD +3.12% +19.91%

Composition of Simplify US Equity PLUS GBTC ETF - USD

Weight
326.7 USD -0.57%+0.30%-9.93%-.--%
16.1 USD +0.03%+9.95%-13.89%-.--%
87.7 USD +0.58%+1.51%+6.18%-.--%
133.6 USD -0.01%+0.71%+1.58%-.--%
17.18 USD -1.97%-0.49%+2.59%-.--%
251.8 USD +0.01%+2.73%+8.25%-.--%
162.9 USD -0.98%+0.90%+5.21%-.--%
198 USD +0.31%+0.34%+5.85%-.--%
174.2 USD -0.10%+3.23%-11.68%-.--%
153.4 USD -0.80%+1.21%+10.13%-.--%
145.1 USD -0.89%-0.99%+6.69%-.--%
31 USD +0.34%+3.03%-13.36%-.--%
95.08 USD +0.19%+1.90%-19.82%-.--%
272.4 USD -0.42%+1.64%+18.45%-.--%
543.5 USD +0.35%+1.69%+15.29%-.--%
313.1 USD -0.44%+0.94%+9.13%-.--%
52.05 USD +0.52%+1.75%+1.87%-.--%
169.6 USD +1.03%+0.04%+20.84%-.--%
177.6 USD +0.39%+4.24%+27.12%-.--%
218.9 USD -0.46%+4.14%+34.82%-.--%
181.3 USD -1.22%-3.20%+19.18%-.--%
435 USD +0.44%-0.22%+14.36%-.--%
14.32 USD -1.34%-5.73%+4.22%-.--%
93.15 USD +0.60%+2.83%+14.95%-.--%
243.3 USD +0.40%+0.40%+29.44%-.--%
123.3 USD +0.04%-3.66%-3.17%-.--%
216.1 USD -0.65%+1.70%+8.56%-.--%
393.5 USD +0.95%+3.70%+11.09%-.--%
192 USD +0.48%+2.55%-0.17%-.--%
191.5 USD -0.16%+2.60%-11.15%-.--%
118.7 USD +0.32%+1.45%+2.63%-.--%
152 USD +0.21%+1.59%+7.95%-.--%
170.4 USD +0.10%+0.54%+32.89%-.--%
102.7 USD +0.45%-0.40%+2.06%-.--%
436.1 USD +0.82%+0.78%+6.03%-.--%
2,828 USD -3.28%-2.86%+9.75%-.--%
219.6 USD -0.82%+1.73%-9.82%-.--%
254.3 USD +0.49%+0.23%+5.51%-.--%
61.08 USD +0.35%-0.96%-15.43%-.--%
233.1 USD +0.15%-1.47%+5.77%-.--%
333.7 USD +0.86%+0.72%+36.30%-.--%
94.44 USD -2.45%-1.76%+10.72%-.--%
292 USD -0.31%+1.02%-0.05%-.--%
84.7 USD +0.10%+1.70%+16.36%-.--%
84.82 USD +0.37%+0.69%+3.03%-.--%
72.18 USD +2.22%+7.73%+25.00%-.--%
81.82 USD -0.15%-1.22%-8.79%-.--%
10.02 USD +0.70%-4.07%+3.79%-.--%
134.9 USD +1.19%+4.95%+36.11%-.--%
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Description

US82889N8487
Total Expense Ratio 0.50%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
22/05/2021
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 20 M€
AuM 1M 18 M€
AuM 3 months 9 M€
AuM 6 months 5 M€
AuM 12 months 6 M€
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