Components WisdomTree International AI Enhanced Value Fund ETF - USD

ETF

AIVI

US97717W7864

Market Closed - Nyse 21:10:00 21/05/2024 BST 5-day change 1st Jan Change
41.99 USD -0.11% Intraday chart for WisdomTree International AI Enhanced Value Fund ETF - USD +0.84% +3.79%

Composition of WisdomTree International AI Enhanced Value Fund ETF - USD

Weight
471.8 CHF -0.21%+4.13%+7.37%3.16%
494 GBX -0.07%+0.12%+13.50%2.98%
111 CHF +0.61%+6.85%+17.17%2.86%
1,728 JPY -1.00%-1.29%+17.87%2.74%
13.9 EUR -1.38%-2.25%-8.81%2.52%
2,454 GBX -0.75%-0.28%+7.12%2.52%
33.81 EUR -0.29%+1.29%+14.62%2.33%
101.6 EUR -0.59%-5.14%+4.62%2.30%
4,102 JPY -0.75%-1.37%+1.18%2.12%
115.3 EUR -0.26%-1.11%+1.41%2.03%
503.5 GBX -1.18%-2.04%-5.74%2.02%
104.4 EUR -1.74%-1.60%+24.35%1.99%
12.57 AUD +2.36%+2.28%-8.32%1.99%
4,550 JPY -0.81%+1.02%+9.72%1.91%
3,015 JPY +2.48%-2.21%+31.16%1.91%
70.7 EUR -0.07%-1.19%-0.73%1.81%
97.11 EUR -0.62%-5.36%+19.97%1.81%
1,941 GBX -0.17%-2.11%+7.64%1.78%
3.19 AUD -0.62%+0.63%+6.69%1.69%
46.68 EUR -2.91%-0.85%+17.48%1.63%
66.14 EUR -1.00%-4.36%+5.50%1.58%
380 GBX -1.25%+1.39%-11.56%1.55%
14.38 SGD -0.21%-0.14%+10.62%1.55%
5,519 JPY -0.67%-0.77%+5.40%1.46%
24.55 AUD -1.84%-8.02%-23.47%1.42%
7,639 JPY +0.43%-0.82%-4.68%1.39%
22.7 EUR +0.44%+5.29%-6.81%1.31%
465.5 GBX -2.62%-4.33%-32.07%1.29%
14.44 EUR -1.03%-4.47%-5.94%1.23%
323.4 JPY -0.89%-3.95%-5.99%1.23%
1.955 AUD -0.26%+1.56%-4.17%1.09%
3.69 AUD -0.81%-2.12%-2.89%1.08%
26.8 HKD 0.00%+2.68%+11.43%1.06%
201.9 GBX -1.51%-2.56%-9.13%1.04%
40.74 EUR -0.09%+1.57%+2.80%0.97%
1,751 GBX -0.30%-3.48%+20.64%0.94%
1,846 JPY -0.62%-0.57%-10.33%0.94%
8,242 JPY -1.39%+5.42%+55.57%0.93%
48.32 EUR -1.69%-2.70%-0.98%0.89%
1,084 GBX -0.14%-2.52%+2.31%0.86%
126.1 NOK -1.10%-1.48%+8.15%0.85%
5.08 AUD -0.39%-0.97%+4.96%0.82%
45.69 EUR 0.00%+0.37%+27.80%0.81%
42.05 HKD +0.12%+0.60%+0.48%0.79%
247.6 GBX -1.88%-1.74%-1.46%0.76%
24.02 EUR +0.06%-6.81%+99.67%0.76%
2,768 GBX -1.26%-3.38%+7.80%0.74%
5,863 JPY -0.73%+0.89%+11.51%0.73%
4,450 GBX -1.93%-3.12%-17.85%0.70%
178 EUR -0.53%-2.09%+8.35%0.69%
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Description

US97717W7864
Total Expense Ratio 0.58%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
14/06/2006
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 68 M€
AuM 1M 69 M€
AuM 3 months 67 M€
AuM 6 months 65 M€
AuM 12 months 74 M€
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