Components VanEck Vectors Natural Resources ETF - USD

ETF

HAP

US92189F8418

Market Closed - Nyse 21:10:00 10/05/2024 BST 5-day change 1st Jan Change
52.56 USD +0.00% Intraday chart for VanEck Vectors Natural Resources ETF - USD +2.37% +7.69%

Composition of VanEck Vectors Natural Resources ETF - USD

Weight
191 USD -1.32%-0.26%+10.90%0.12%
56.67 USD -1.84%+4.13%+1.98%0.12%
2,091 JPY +0.53%+0.14%+10.14%0.12%
118.8 USD +1.48%+3.96%+39.40%0.12%
13.84 EUR +0.69%+0.22%-3.25%0.12%
369.3 SEK +3.59%+4.03%+17.42%0.12%
4,944 JPY -2.56%-6.10%+16.44%0.12%
133.7 USD -1.90%-1.74%+3.34%0.12%
87.12 USD -1.34%+0.52%+13.23%0.12%
22.07 AUD -0.90%-1.60%-5.68%0.12%
26.6 USD -0.86%+2.47%+32.08%0.12%
24.38 USD +1.41%+5.45%+30.44%0.11%
275.9 NOK +2.60%+4.15%-6.63%0.11%
1,990 JPY +0.71%-1.00%+9.25%0.11%
68.68 USD +0.66%-2.64%+7.73%0.11%
4,700 JPY +0.84%+0.04%+24.47%0.11%
127.2 USD +1.49%+4.05%+5.19%0.11%
6.28 HKD +2.45%+5.19%+5.02%0.11%
24.28 EUR +4.21%+22.75%+102.33%0.11%
77.12 AUD -0.66%+2.73%+10.17%0.11%
18.84 USD -1.52%+1.62%-7.10%0.11%
57.28 USD -1.43%+0.85%-0.19%0.11%
19.94 EUR +0.38%+1.99%+49.48%0.10%
87.25 USD +0.32%+17.43%+23.18%0.10%
4.14 AUD -0.72%-0.96%+4.81%0.10%
19.66 CAD -1.06%+3.15%+53.00%0.10%
363 GBX +0.83%+0.39%+18.13%0.10%
29.66 USD -0.03%+1.02%-11.22%0.10%
83.32 USD -0.63%+4.66%+14.59%0.10%
10.38 CAD +0.68%+15.08%+29.43%0.10%
57.29 USD -0.45%+2.49%+14.49%0.10%
17.64 USD -0.79%+0.86%+16.44%0.10%
3,511 JPY +0.75%-1.51%+8.43%0.10%
22.66 MYR -1.13%-2.07%+3.85%0.10%
46.7 HKD +3.78%+3.43%+3.20%0.10%
5,300 IDR 0.00%+9.05%+5.47%0.10%
35.53 USD -3.74%-0.50%+16.72%0.09%
47 BRL +0.47%+0.53%+2.06%0.09%
7.17 USD -1.92%+1.27%+9.47%0.09%
107 CAD -1.77%-0.20%-5.61%0.09%
16.06 CAD +0.75%+6.01%+48.15%0.09%
431.1 DKK -0.44%+10.03%+15.17%0.09%
435.6 USD +4.13%+10.99%+22.16%0.09%
18.24 CAD +1.11%-1.83%+68.11%0.09%
37.12 USD -0.64%+0.95%+9.18%0.09%
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ETF Ratings

Description

US92189F8418
Total Expense Ratio 0.49%
Asset Class
Sector
Size
Currency
Provider
Underlying Rogers - Van Eck Natural Resources Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
28/08/2008
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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