Components VanEck Agribusiness ETF - USD

ETF

MOO

US92189F7006

Market Closed - Nyse 21:00:00 02/07/2024 BST 5-day change 1st Jan Change
69.61 USD +0.33% Intraday chart for VanEck Agribusiness ETF - USD -1.12% -8.62%

Composition of VanEck Agribusiness ETF - USD

Weight
365 USD +1.10%-1.22%-8.73%8.73%
52.77 USD -0.57%-0.51%+10.12%7.17%
174.8 USD +1.29%+4.07%-11.43%6.94%
26.08 EUR +0.89%-0.25%-22.93%6.59%
68.33 CAD -1.90%-3.96%-8.47%6.17%
62.13 USD +2.46%+2.44%-13.97%6.15%
57.22 USD -0.24%+0.16%+6.46%4.66%
2,263 JPY +0.49%+0.29%+6.62%4.01%
70.83 USD -3.48%-6.11%-10.91%3.55%
110.4 USD +2.85%+3.41%+9.34%3.36%
9.75 USD -0.10%-1.61%-19.95%3.28%
176.9 NOK -0.53%-1.72%-2.80%2.35%
3.12 SGD +1.63%-1.27%-12.61%2.23%
27.77 USD -0.68%-5.42%-22.28%2.21%
90.88 USD -0.49%+0.19%-5.32%2.14%
96.04 USD +0.48%-2.40%-20.90%1.98%
37.2 USD +3.51%+2.71%-25.36%1.86%
55.62 USD -1.75%-1.59%-11.78%1.83%
12.38 AUD +0.65%-1.04%+14.84%1.59%
20.69 BRL +0.44%+1.72%-9.85%1.58%
555.5 NOK -0.63%-4.88%-2.41%1.55%
14.01 USD -0.64%-21.51%-5.97%1.42%
302.2 NOK -0.33%-1.98%-16.33%1.41%
14.48 HKD +3.43%-1.09%-31.05%1.20%
22.97 EUR +0.44%-1.33%-12.50%0.99%
542.5 NOK +0.46%-3.12%+1.97%0.92%
2.86 AUD 0.00%-1.04%+0.70%0.92%
158.8 USD +3.06%+4.76%+6.77%0.90%
359.2 CHF +0.91%+1.55%+1.93%0.89%
12.47 EUR -0.85%-0.12%-12.82%0.88%
40.55 USD +0.45%+0.80%-32.66%0.87%
4.22 MYR -0.47%-0.71%-5.38%0.86%
1,584 ILa -0.06%-3.30%-12.93%0.82%
4,796 JPY -0.08%-0.64%+0.33%0.82%
20.38 MYR -0.49%-2.86%-6.60%0.76%
5,075 IDR -0.49%+1.00%+1.00%0.75%
15.13 USD +0.60%-6.02%-24.76%0.65%
14.12 MYR -2.08%-2.08%-2.49%0.64%
3.67 MYR -1.61%-1.61%-6.62%0.56%
64.1 TWD -0.47%-1.99%-5.18%0.51%
38.76 USD +1.36%+1.55%+40.13%0.49%
866 JPY -0.56%+0.19%+14.08%0.47%
43.26 NOK -1.14%-0.32%+3.39%0.37%
1,652 GBX +1.35%-2.02%-24.15%0.34%
557.5 DKK +0.63%+1.64%+0.72%0.32%
0.27 SGD 0.00%-1.82%+3.85%0.31%
3,207 JPY -0.56%+0.16%+15.53%0.27%
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ETF Ratings

Description

US92189F7006
Total Expense Ratio 0.52%
Asset Class Actions
Sector
Size
Currency
Provider
Underlying MVIS Global Agribusiness Net Total Return Index - USD

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Fund Structure
Replication Model
Date of creation
30/08/2007
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/05/2024 )

AuM (EUR) 714 M€
AuM 1M 717 M€
AuM 3 months 760 M€
AuM 6 months 850 M€
AuM 12 months 980 M€
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