Components Virtus LifeSci Biotech Clinical Trials ETF - USD

ETF

BBC

US26923G3011

Market Closed - Nyse 21:10:00 26/04/2024 BST 5-day change 1st Jan Change
25.6 USD +3.63% Intraday chart for Virtus LifeSci Biotech Clinical Trials ETF - USD +2.90% +4.78%

Composition of Virtus LifeSci Biotech Clinical Trials ETF - USD

Weight
39.65 USD +2.48%+4.34%+157.80%2.25%
65.34 USD +0.83%-3.27%-21.74%1.54%
11.64 USD +0.87%+2.92%+43.17%1.53%
9.4 USD +22.88%+30.56%+13.12%1.52%
8.72 USD +2.59%+14.59%+113.73%1.51%
25.3 USD +31.43%+61.56%+148.28%1.50%
24.73 USD +4.37%+3.65%+85.94%1.45%
74.31 USD +7.91%+17.17%+299.30%1.43%
12.53 USD +1.29%-5.72%+4.16%1.43%
57.86 USD +6.77%-0.72%+45.52%1.39%
11.87 USD +7.52%+5.14%+38.02%1.39%
45.04 USD +0.24%+13.14%+63.78%1.34%
64.56 USD -0.09%+0.02%+238.72%1.31%
14.56 USD +1.32%-6.73%+51.35%1.28%
24.36 USD +2.22%+7.17%+169.17%1.28%
23.25 USD -1.19%-7.92%+14.76%1.24%
19.65 USD +3.42%+12.09%+36.65%1.23%
2.89 USD +1.23%-16.71%-9.97%1.21%
22.73 USD +0.93%-3.07%+25.72%1.21%
33.37 USD +0.06%-1.77%+31.07%1.21%
3.86 USD +8.73%+10.29%+47.89%1.21%
6.42 USD +1.74%-0.93%+3.55%1.14%
8.12 USD +3.57%+10.48%-17.65%1.10%
6.02 USD +0.17%-10.28%+2.38%1.08%
47.13 USD +2.77%+0.47%+68.68%1.07%
26.55 USD +1.45%+2.19%-15.79%1.04%
25.15 USD +1.99%-1.80%+9.68%1.01%
34.06 USD -0.09%-0.76%-10.37%1.00%
21 USD +11.29%+5.69%-1.96%0.99%
37.89 USD +1.47%+1.04%-5.86%0.98%
7.94 USD +1.02%-5.25%-9.26%0.98%
8.26 USD +1.85%-6.67%-20.50%0.98%
32.37 USD +2.44%-6.77%-21.36%0.98%
39.94 USD +3.42%+7.57%+12.25%0.96%
156.9 USD +0.77%-1.04%+26.45%0.96%
36.3 USD +0.11%-4.42%-8.47%0.95%
2.17 USD -1.36%-2.69%+11.86%0.92%
60.72 USD +1.10%-0.18%-3.31%0.92%
8.07 USD +5.22%-12.19%-12.28%0.92%
10.01 USD +2.35%-1.96%-4.94%0.90%
9.15 USD +0.99%-10.12%-46.33%0.90%
51.92 USD +1.05%+0.52%-6.45%0.89%
16.86 USD -0.06%+8.08%+13.23%0.89%
12.36 USD 0.00%-9.05%+19.77%0.89%
38.97 USD +1.12%-0.05%-8.95%0.87%
21.06 USD +2.38%+1.25%-2.55%0.87%
19.98 USD +3.90%+8.71%-5.89%0.86%
1.41 USD +0.71%+6.02%+5.22%0.86%
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ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
15/12/2014
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 26/03/2024 )

AuM (EUR) 11 M€
AuM 1M 12 M€
AuM 3 months 10 M€
AuM 6 months 8 M€
AuM 12 months 11 M€
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