Components Vanguard FTSE 250 UCITS ETF - GBP

ETF

VMID

IE00BKX55Q28

Delayed Swiss Exchange 04:55:01 24/05/2024 BST 5-day change 1st Jan Change
32.05 GBX -0.25% Intraday chart for Vanguard FTSE 250 UCITS ETF - GBP -0.67% +6.10%

Composition of Vanguard FTSE 250 UCITS ETF - GBP

Weight
1,462 GBX -0.63%-0.15%+5.71%1.35%
3,273 GBX +0.09%+3.75%-13.68%1.18%
400.2 GBX +0.30%-0.63%+0.26%1.13%
1,146 GBX -0.43%-1.85%+8.67%1.08%
137.8 GBX +0.80%-2.21%-8.99%1.08%
155.6 GBX -0.27%+1.44%-13.07%1.03%
457.8 GBX +0.25%-6.50%-10.02%1.00%
9,620 GBX +0.05%-2.86%-2.72%0.99%
154.8 GBX +0.78%-6.30%-8.35%0.98%
3,048 GBX -0.73%-0.14%+17.17%0.98%
1,231 GBX -0.40%-1.43%+11.16%0.97%
1,294 GBX +0.31%-0.84%+41.14%0.97%
2,703 GBX -0.41%-3.08%+5.53%0.95%
1,792 GBX +0.34%-4.34%+3.98%0.94%
98.35 GBX -0.46%-2.13%-13.14%0.87%
121.3 GBX +0.42%-2.17%-12.47%0.86%
1,059 GBX -5.42%+17.93%+44.38%0.85%
342.1 GBX +0.26%+2.21%+5.68%0.85%
790.2 GBX +0.54%-1.31%+3.07%0.85%
6.329 EUR +0.11%-3.15%-10.45%0.84%
255 GBX +0.47%-0.38%+9.72%0.84%
822 GBX +0.18%+1.61%+14.74%0.82%
712.2 GBX +0.04%+5.79%+8.04%0.81%
2,253 GBX +1.58%+0.18%-4.66%0.80%
121.9 GBX -0.06%-3.54%-11.26%0.80%
2,854 GBX -0.28%+0.97%+9.82%0.80%
202.7 GBX +1.05%+2.79%+11.35%0.73%
76.05 GBX +0.53%-3.00%+20.18%0.72%
1,167 GBX -1.25%-1.25%+9.91%0.70%
1,226 GBX +0.49%+3.38%+0.16%0.70%
1,850 GBX +0.01%-3.04%-1.59%0.70%
1,402 GBX -0.57%-2.11%-1.35%0.67%
997.2 GBX +1.24%-0.73%+18.58%0.65%
421.2 GBX -0.77%-0.85%+3.27%0.63%
560 GBX +0.18%-0.18%+11.33%0.62%
4,452 GBX +1.19%+0.98%+16.81%0.62%
200.3 GBX -0.35%-4.28%+4.56%0.62%
551.2 GBX -1.03%+4.41%+39.70%0.61%
329 GBX -0.30%-4.64%+2.33%0.61%
306.5 GBX -0.87%-1.38%-0.54%0.60%
612.8 GBX -0.85%-15.03%-18.59%0.60%
2,835 GBX +0.89%+2.54%+1.29%0.60%
245.2 GBX +0.51%-4.65%-6.96%0.59%
213 GBX +0.09%-0.65%+29.64%0.58%
510.8 GBX +0.64%-9.02%+4.22%0.58%
140.2 GBX +0.90%+0.07%+1.52%0.58%
877 GBX -0.17%+2.94%-0.85%0.57%
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Description

IE00BKX55Q28
Total Expense Ratio 0.10%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE 250 Net Total Return Index - GBP

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
28/09/2014
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 1,884 M€
AuM 1M 1,802 M€
AuM 3 months 1,721 M€
AuM 6 months 1,455 M€
AuM 12 months 1,719 M€
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