Components Syntax Stratified U.S. Total Market ETF - USD

ETF

SYUS

US87166N4034

Delayed Nyse 21:10:00 09/05/2024 BST 5-day change 1st Jan Change
47.5 USD +0.83% Intraday chart for Syntax Stratified U.S. Total Market ETF - USD +2.13% +5.47%

Composition of Syntax Stratified U.S. Total Market ETF - USD

Weight
165.5 USD +0.01%+3.38%+11.07%0.71%
118.2 USD -0.17%+2.03%+18.37%0.71%
60.36 USD -0.12%+1.18%+15.18%0.66%
55.2 USD +0.36%+0.81%+20.82%0.64%
782.2 USD +0.40%+5.02%+18.35%0.63%
75.56 USD +0.55%+0.37%+3.43%0.63%
17.36 USD +0.61%-2.44%-33.45%0.55%
56.18 USD +0.89%+0.86%-28.60%0.55%
157 USD -1.20%+0.18%+20.87%0.50%
179.8 USD -1.71%-1.41%+21.31%0.49%
145.9 USD -1.21%+1.80%+9.80%0.48%
132.2 USD +0.43%-0.75%-9.78%0.46%
77.69 USD -0.01%+1.81%+11.77%0.46%
139 USD +0.78%+3.72%+6.64%0.46%
94.66 USD +0.61%+2.03%+18.89%0.45%
98.76 USD -0.15%+4.05%+5.49%0.45%
62.44 USD -0.01%+5.31%-13.72%0.45%
107.1 USD +0.01%+1.19%+13.55%0.45%
166.5 USD +0.29%+1.37%+13.76%0.45%
136.9 USD +0.20%+0.65%+12.73%0.45%
133.8 USD -0.76%+2.49%-3.10%0.45%
3,246 USD +0.40%+2.87%+41.93%0.45%
48.21 USD -0.72%+4.68%+11.49%0.44%
361 USD +0.25%+2.13%+15.38%0.44%
76.01 USD +0.44%+4.06%-20.76%0.44%
148.9 USD +1.32%-0.06%-9.22%0.44%
168.9 USD -0.22%+2.00%+31.70%0.44%
270.4 USD +0.93%+0.11%-8.73%0.44%
167 USD -0.63%+0.53%+16.18%0.43%
59.8 USD +0.25%-3.16%+11.74%0.43%
35.36 USD -0.08%+0.78%+10.39%0.43%
142.9 USD +0.97%+3.79%+0.62%0.43%
29.8 USD +0.52%+5.73%-0.98%0.43%
520.8 USD +0.68%+1.30%+26.39%0.43%
472.6 USD -0.60%+4.31%+33.19%0.41%
182.7 USD -0.90%-0.29%-5.03%0.41%
30.4 USD -0.57%-4.56%-16.51%0.38%
37.31 USD -0.45%+1.66%+3.29%0.35%
37.86 USD -0.24%+1.48%+5.75%0.35%
20.04 USD +0.25%+8.17%+4.91%0.34%
83.07 USD -0.74%+2.97%-7.24%0.34%
83.82 USD +2.52%+9.45%+62.26%0.34%
48.53 USD +0.10%+1.70%-6.86%0.34%
37.54 USD -0.48%+3.27%+4.97%0.33%
140.2 USD +0.28%-5.54%+7.78%0.33%
99.48 USD +0.02%+2.40%+6.02%0.33%
179.3 USD +1.28%+7.42%+18.17%0.33%
44.82 USD +0.23%+3.07%+11.38%0.33%
214.7 USD -0.55%+10.46%+84.14%0.33%
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Description

US87166N4034
Total Expense Ratio 1.06%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
18/03/2021
Dividend Policy
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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  4. Components Syntax Stratified U.S. Total Market ETF - USD