Components VictoryShares US EQ Income Enhanced Volatility Wtd ETF - USD

ETF

CDC

US92647N8240

Delayed Nasdaq 15:57:57 29/04/2024 BST 5-day change 1st Jan Change
58.44 USD +0.69% Intraday chart for VictoryShares US EQ Income Enhanced Volatility Wtd ETF - USD +0.50% +3.31%

Composition of VictoryShares US EQ Income Enhanced Volatility Wtd ETF - USD

Weight
146.5 USD +0.26%-1.91%-6.68%1.99%
61.7 USD -0.07%+2.04%+4.85%1.72%
134.6 USD -0.44%+4.49%+10.87%1.62%
273.4 USD +1.26%+0.35%-5.27%1.55%
167.1 USD -0.01%-8.24%+2.06%1.52%
212 USD +0.49%-1.68%+0.60%1.49%
47.95 USD +0.19%-0.33%-5.03%1.42%
74.12 USD +1.24%+1.49%+5.63%1.37%
57.86 USD +0.23%0.00%+3.70%1.36%
95.36 USD +0.36%+1.22%+1.20%1.35%
93.78 USD +0.92%+1.33%+3.29%1.32%
160.1 USD +0.28%-5.28%+2.62%1.30%
44.83 USD -0.04%-8.70%-12.56%1.26%
98.7 USD +1.02%+0.65%+1.77%1.25%
120.4 USD +0.32%-0.60%+1.17%1.23%
43.7 USD +0.73%+2.77%+8.45%1.22%
38.78 USD +0.56%-4.41%-11.56%1.20%
110.3 USD +0.70%+0.30%+0.17%1.19%
49.58 USD +0.96%-0.65%-3.38%1.18%
155.5 USD -0.36%+0.82%-5.17%1.18%
82.51 USD +1.25%+0.59%-2.04%1.18%
81.02 USD +1.61%+0.38%-1.82%1.17%
39.14 USD -0.29%+1.35%+12.49%1.17%
59.8 USD +0.78%-0.28%+3.03%1.17%
68.5 USD +1.00%+2.79%+12.13%1.16%
101.9 USD +0.59%+4.42%+15.97%1.16%
38.3 USD +0.38%+0.39%+3.57%1.15%
27.46 USD +1.65%+0.27%+1.27%1.15%
30.83 USD +0.33%-0.68%+7.78%1.15%
60.82 USD +0.32%+0.49%+13.32%1.13%
40.53 USD +2.14%+5.13%+7.64%1.13%
18.54 USD +0.77%-1.45%+5.14%1.13%
38.78 USD +1.72%+1.31%+5.59%1.11%
37.66 USD +0.92%-0.05%+4.88%1.10%
52.52 USD +1.62%+0.45%+0.57%1.10%
27.84 USD +0.60%-0.11%+5.01%1.09%
17.1 USD -0.38%+2.02%+1.12%1.09%
54.67 USD +1.32%-0.95%-12.07%1.08%
71.1 USD +1.36%+0.76%-0.41%1.07%
86.1 USD +0.99%+1.47%+6.07%1.07%
147.8 USD +0.89%+1.56%+3.38%1.06%
107.3 USD +0.79%-0.13%+6.05%1.06%
178.2 USD +3.12%-0.64%+9.35%1.05%
25.72 USD +1.24%-2.09%-10.70%1.04%
66.66 USD +1.90%-0.64%-17.89%1.04%
144.1 USD +0.45%+2.25%+12.18%1.04%
149.1 USD +1.03%+2.41%-5.32%1.03%
95.79 USD -0.10%+2.28%+10.87%1.02%
51.28 USD +1.65%+1.26%+9.08%1.01%
31.56 USD +0.75%-0.10%+3.51%0.99%
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ETF Ratings

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
30/06/2014
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 846 M€
AuM 1M 826 M€
AuM 3 months 935 M€
AuM 6 months 1,116 M€
AuM 12 months 1,735 M€
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